Escolar Documentos
Profissional Documentos
Cultura Documentos
May 4, 2015
Table of Contents
Section
Page
Introduction .................................................................................................1
Resources ................................................................................................11
Expenditures.............................................................................................15
Full Time Equivalents ...............................................................................19
Capital Program........................................................................................25
Regional Subsidy Funding Programs .......................................................29
Debt ..........................................................................................................31
Measure R ................................................................................................33
Funds .......................................................................................................37
Service Statistics ......................................................................................43
Activity Based Cost Models ......................................................................47
Appendix I: Legally Separate Entities .......................................................51
Appendix II: Capital Program Project Listing ............................................55
Appendix III: Regional Transit Allocation ..................................................61
Page i
Page ii
Introduction
Introduction
Page 1
Introduction
Page 2
Introduction
Page 3
Budget Message
Metro is proposing a $5.6 billion, balanced budget for Fiscal Year 2016 (FY16). In FY16, five major rail
lines are in construction, with the Expo Line extension to Santa Monica and Gold Line Foothill Phase 2A
extension opening before summer 2016. The opening of these lines will connect our mountains and our
beach communities, allowing residents and visitors to experience LA and all it has to offer. With our
continued expansion, our transportation network will connect neighborhoods as never before.
Construction of the Crenshaw/LAX Transit Corridor, the Regional Connector and the Purple Line
extension are already underway.
Metro is about more than buses and trains. It is about quality of life and livability improvements for a more
walkable and bikeable environment. It is about first/last mile connections. It is also about highways, which
our sprawling region relies heavily on as part of an integrated and multi-faceted transportation network.
The safety of our passengers and employees is our first priority. In FY16, $51 million is directed to safety
and security capital projects, which include infrastructure improvements and technology enhancements,
such as cameras and video screens on our buses and rail stations. We continue our commitment to
keeping our system in top form by targeting $360 million to maintain our existing bus and rail systems.
Metro continues to administer and sponsor programs designed to facilitate the reduction of traffic
congestion in Los Angeles, by assisting broken down vehicles or clearing traffic accidents and by
promoting ride sharing and carpooling. As part of the congestion management program, the
ExpressLanes congestion pricing program on the I-10 and I-110 freeways continues to attract drivers, as
commuters who switch from general purpose lanes to the toll lanes enjoy a speedier commute. Tolls are
expected to generate $62.2 million in FY16.
In FY16, almost $1.4 billion in subsidies is going right back into LA County. Regional transit agencies,
Access Services and Metrolink receive funding to ensure mobility. With 88 cities and unincorporated
areas of LA County investing in public transit, streets and roads, bikeways and pedestrian improvements
in their areas.
In September, we began offering free 2-hour transfers on Metro to make travel more efficient and
economical for customers a move that has proved highly popular with customers. And with 26 transit
agencies on TAP, the ease of regional mobility and connectivity for LA County is becoming a reality.
As Metro builds new rail lines, expands services, and enhances service quality, we face financial
challenges by FY18. We can address these challenges by taking small steps now to avoid more extreme
measures in the future. By spending responsibly, exploring innovative improvements, and seeking
additional revenue opportunities, we can achieve a state of sustained financial stability. Under judicious
control, with only a 1% increase from last years budget, this budget includes many programs and
projects to improve transportation for our customers throughout Los Angeles County.
Introduction
Page 4
Budget Highlights
Improved Bus and Rail Service
FY16 marks the highly anticipated opening of the Expo Line extension to Santa Monica and Gold Line
Foothill Phase 2A extension to Azusa. This will expand our rail system by twenty percent and add thirteen
stations to these lines to increase customer convenience and connectivity. Always striving to enhance
the trip experience of our customers, we will continue to improve our transit network by constantly
evaluating service improvement options suggested by our Service Councils and customers. We are also
implementing pilot projects to improve speed of customer boarding (e.g. all-door bus boarding) and
building new applications (e.g. Mobile TAP Application) to make fare payment more convenient.
Safety and reliability is our number one priority. To that end, we will be purchasing 78 new light rail
vehicles for the FY16 Expo II and Foothill to Azusa service openings and 60 additional vehicles for future
rail service expansion. With the recent approval to purchase 350 new buses, nearly half of the Metro bus
service fleet will be replaced. A total of 900 new 40 foot buses will replace retirement-ready buses
resulting in improvements to the in-service fleet performance.
To improve system infrastructure and ensure that proper infrastructure is in-place to operate our
expanded Gold Line and Expo Line, two new operating & maintenance facilities will open in FY16. The
Monrovia Division will support the Gold Line and the Santa Monica Division will support the Expo Line.
Other infrastructure focus is on maintaining our current bus and rail vehicles, tracks, and systems by
performing all scheduled component overhauls and mid-life maintenance services. Our emphasis will
also be on maintenance of all our rail lines, including the older Blue Line and Red Line systems.
Looking to the future and the changing transportation footprint of Los Angeles County, a framework for a
systemwide frequent bus network will be established as the foundation for timely integration with future
bus, rail, and highway infrastructure projects.
Asset Improvement & Maintenance
Metros Board established a policy requiring that
our assets be maintained in accordance with
manufacturer recommended standards and that
the Board be notified of any instances of deferred
maintenance.
Over $360 million and 150 projects are planned in
FY16 to enhance our maintenance capabilities
and to keep our assets in a state of good repair.
Notable projects include a new 350 bus
procurement, light and heavy rail fleet vehicle
replacement, improvements to signal and power
systems and completion of the new Bus Division
13 facility.
Asset
Improvement
& Maintenance
$
24,647
1,061
1,757
22,592
115,461
165,517
163,259
13,099
18,555
Introduction
Page 5
Safety &
Security
$
16,392
1,395
12,412
3,470
33,669
25
14,569
2,883
Introduction
Page 6
Subregional Projects
> Las Virgenes/Malibu Highway Operational
Improvements
> I-405, I-110, I-105, SR-91 Ramp &
Interchange
Introduction
Page 7
Sales tax and TDA revenues are expected to grow at 3.2% over the FY15 levels. This represents
a growth consistent with actual and projected receipts for FY15 and is in line with various outside
economic forecasting sources.
Measure R funds will continue to be budgeted and expended in accordance with the ordinance
project delivery schedules and cash flow needs.
Fare revenues will increase by 7.1% over the FY15 budget reflecting the Gold Line Foothill Phase
2A extension to Asuza, the Expo Line extension to Santa Monica, and a full year of the Board
approved fare restructuring effective in September 2014.
New STA revenues for bus and rail operations and capital in FY16 are expected to be $105.7
million regionwide representing a 1.0% increase over the FY15 budget.
Capital financing, including grant reimbursements, sales tax carryover, and Transportation
Infrastructure Finance and Innovation Act (TIFIA) loan drawdowns will total $2.3 billion in FY16 in
line with planned expenditure activity.
ExpressLanes toll revenues are expected to come in at $62.2 million for FY16 which equates to a
102.6% increase over the FY15 budget. This increase reflects the continued popularity of the
ExpressLanes option offered to Los Angeles drivers.
Cap and trade funding for Metro totals $3.8 million. Advertising revenues of $22.5 million (based
on fixed guaranteed amount) and Federal CNG fuel credits of $19 million are expected to fund
operations.
Service Assumptions
The FY16 budget assumes no increase in Bus Revenue Service Hours; however, improvements
on selected lines will be implemented to continue enhancing the trip experience of our customers.
Bus improvements include completion of a Bus Lane Serving Metro Rapid Line 720 on Wilshire
Blvd. and full implementation of the Valley-Westside Express Line 788 operating on the I-405
High Occupancy Vehicle (HOV) Lane. We will also continue implementing route adjustments to
gain connectivity with regional destinations and transit hubs, as well as partnering with the
Municipal Operators to reduce route duplication and increase line connectivity.
The highlight of our rail service change is the highly anticipated opening of the Gold Line Foothill
Phase 2A extension to Azusa and Expo Line extension to Santa Monica. This will expand our rail
system by 20 percent and increase Rail Revenue Service Hours by 6.5 percent from FY15. To
ensure that infrastructure is in place to support our rail expansion, we will open two new operation
and maintenance facilities in Monrovia and Santa Monica. We will also continue to implement
reduced headways and extended late night service on all of our rail lines.
A Bus and Rail Revenue Service Hour break down is shown on the next page. Additional Service
Level Details are found under Service Statistics (see page 45).
Introduction
Page 8
RAIL
FY16 Rail Revenue Service Hours (RSH)
Changes
RSH
FY15 Budget
FY15 Budget
7,061,735
Changes
Impact of Trip Enhancements
TOTAL CHANGES
FY16 Budget
% Increase
1,027,799
Changes
-
7,061,735
0.0%
Blue Line
Green Line
Gold Line (Foothill Phase 2A)
24,012
42,688
Red Line
Other Minor Changes
TOTAL CHANGES
FY16 Budget
% Increase
66,700
1,094,499
6.5%
Labor Assumptions
The budget reflects negotiated wage and salary provisions for represented employees (SMART,
ATU, AFSCME, and TCU). The wage increase dictated by these provisions is at least 3.0%. To
be consistent with these negotiated wage rates, a 3.0% wage increase is also included for nonrepresented employees.
Health and welfare rates include an annualized average increase of approximately 15% for
represented employees and 6% for non-represented employees.
Capital Assumptions
Expand Measure R transit and highway project activities as well as light rail vehicle delivery
Increase emphasis on safety and security projects benefiting customers and employees
Enhance Bus, Light Rail vehicle and Heavy Rail vehicle midlife maintenance projects
Continue procurement of 40-foot replacement buses for our fleet; complete 550 bus procurement
and execute option for an additional 350 buses
Areas of Risk
Less than full funding from federal capital financial partners pending resolution of PEPRA 13c
legislation
Composite rate for Compressed Natural Gas greater than 51 per therm
Other non-labor cost inflation increases above our projected CPI of 1.97%
Timely issuance of Prop 1B bonds by the State. If not, funding is at risk for Crenshaw/LAX
Corridor, Light Rail vehicle acquisitions and Regional Connector.
Introduction
Page 9
Introduction
Page 10
Resources
Resources
Page 11
Summary of Resources
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
(2)
(3)
(4)
Resources
FY15
Budget
$
$
$
$
$
$
$
$
$
FY16
Proposed
740.0
740.0
740.0
370.0
104.7
2,694.7
351.1
30.7
21.5
47.0
450.3
1,264.2
1,105.8
2,370.0
5,514.9
5,514.9
-
$
$
$
$
% Change
763.5
763.5
763.5
381.8
105.7
2,778.0
3.2%
3.2%
3.2%
3.2%
1.0%
3.1%
376.0
62.2
22.5
62.1
522.8
7.1%
102.6%
4.7%
32.1%
16.1%
999.2
1,268.4
2,267.6
5,568.4
5,568.4
-
-21.0%
14.7%
-4.3%
1.0%
1.0%
0.0%
Sales tax and TDA revenues for FY15 Budget represent reforecasted levels based on Q1 actual data
from the State Board of Equalization (SBE).
Other Revenues includes lease revenues, vending revenues, film revenues, county buy down, auto
registration fees, transit court fees, CNG credits, investment income and other miscellaneous
revenues.
Includes grant reimbursement of preventative maintenance operating capital cost, highway capital
grants and major construction grants.
Represents use of bond proceeds and sales tax revenue received and unspent in prior years.
Page 12
FY15
Budget (1)
FY16
Proposed
$ Change
% Change
Proposition A
5% Administration
25% Local Return
40% Discretionary
37.0
175.8
38.2
181.3
1.2
5.6
3.2%
3.2%
246.1
253.9
7.8
3.2%
Eligible
Eligible
267.1
275.6
8.5
3.2%
14.1
14.5
0.4
3.2%
Proposition C
740.0
763.5
23.5
3.2%
11.1
11.5
10
1.5% Administration
0.4
3.2%
11
5% Rail/Bus Security
36.4
37.6
1.2
3.2%
12
72.9
75.2
2.3
3.2%
13
145.8
150.4
4.6
3.2%
14
25% Freeways/Highways
182.2
188.0
5.8
3.2%
15
40% Discretionary
291.6
300.8
9.3
3.2%
16
17
Measure R
740.0
763.5
23.5
3.2%
11.1
11.5
18
1.5% Administration
0.4
3.2%
19
14.6
15.0
0.5
3.2%
20
21.9
22.6
0.7
3.2%
21
36.4
37.6
1.2
3.2%
22
109.3
112.8
3.5
3.2%
23
145.8
150.4
4.6
3.2%
24
145.8
150.4
4.6
3.2%
25
26
27
28
Administration
29
30
31
32
33
34
STA Bus
35
STA Rail
255.1
263.2
740.0
763.5
8.5
8.5
8.1
3.2%
23.5
3.2%
0.0%
7.2
7.5
0.2
3.3%
331.3
342.2
10.8
3.3%
22.9
23.7
0.7
3.3%
11.8
3.2%
55.8
54.9
(0.9)
-1.6%
Eligible
1.9
3.8%
Eligible
48.9
50.8
105.7
1.0
0.9%
37
Total Revenues
2,694.7
2,778.0
83.3
3.1%
% Change
3.2%
3.2%
3.2%
3.3%
0.9%
41
42
43
Eligible
40
Eligible
381.8
104.7
39
Eligible
Eligible
370.0
38
Eligible
36
44
Eligible for
Operations
FY15
Budget
$
513.2
328.0
182.2
331.3
104.7
FY16
Proposed
$
529.5
338.4
188.0
342.2
105.7
$ Change
$
16.3
10.4
5.8
10.8
1.0
1,459.5
1,503.8
44.3
3.0%
Resources
Page 13
Resources
Page 14
Expenditures
Expenditures
Page 15
Board of Directors
Chief Executive Office
Communications
Congestion Reduction
Engineering and Construction
Finance and Budget
Information Technology
Operations
Planning and Development
Vendor/Contract Management
Total Expenditures
FY15
FY16
Change
Budget
Proposed
$
%
$
29.5 $
42.6 $
13.1
44.5%
280.2
297.3
17.1
6.1%
50.3
56.5
6.3
12.4%
86.5
103.8
17.4
20.1%
2,005.5
1,843.1
(162.3)
-8.1%
1,090.3
1,097.4
7.1
0.7%
49.9
54.1
4.2
8.4%
1,565.2
1,702.4
137.2
8.8%
295.0
298.8
3.8
1.3%
62.7
72.3
9.6
15.3%
$ 5,514.9 $ 5,568.4 $
53.5
1.0%
FY15
FY16
Change
Budget
Proposed
$
%
$ 1,009.1 $ 1,091.5 $
82.4
8.2%
1,765.5
1,610.2
(155.3)
-8.8%
427.0
444.3
17.3
4.1%
1,288.0
1,378.3
90.3
7.0%
316.2
337.5
21.4
6.8%
223.0
231.2
8.2
3.7%
106.7
111.5
4.9
4.6%
30.8
21.8
(9.0)
-29.2%
12.5
13.2
0.6
5.2%
336.1
328.7
(7.4)
-2.2%
$ 5,514.9 $ 5,568.4 $
53.5
1.0%
Expenditures
Page 16
1
2
3
4
5
6
FY16
Proposed
$
Change
1,013.9
370.1
1,384.0
19.8
1,403.7
1,042.9
399.4
1,442.3
19.0
1,461.3
1,556.8
437.4
1,994.2
49.0
90.2
2,133.4
1,610.0
426.0
2,036.0
46.2
160.6
2,242.8
3,646.5
3,594.7
(51.8)
-1.4%
520.3
542.4
33.2
13.2
10.5
168.3
1,288.0
536.5
569.2
16.2
27.9
10.5
218.0
1,378.3
16.2
26.8
(17.0)
14.7
49.7
90.3
3.1%
4.9%
-51.3%
110.7%
0.0%
29.5%
7.0%
30.7
31.9
11.6
3.7
11.0
88.8
28.3
42.3
10.3
2.2
10.8
93.9
(2.4)
10.4
(1.3)
(1.5)
(0.2)
5.1
-7.7%
32.7%
-11.1%
-40.1%
-2.2%
5.7%
42.5
57.4
38.6
34.3
172.8
40.5
52.1
35.8
27.1
155.5
2.0
5.3
2.8
7.2
17.3
5.1%
10.1%
7.8%
26.4%
11.1%
336.1
328.7
(7.4)
-2.2%
Total Expenditures
5,514.9
5,568.4
53.5
1.0%
FY15
Budget
$
$
$
$
$
%
Change
29.0
29.3
58.3
(0.8)
57.6
2.9%
7.9%
4.2%
-3.8%
4.1%
(53.2)
11.4
$ (41.8)
2.8
(70.4)
$ (109.3)
-3.3%
2.7%
-2.1%
6.2%
-43.8%
-4.9%
$
$
7
8
9
10
11
12
13
14
Capital:
Transit Capital Expansion
Operating Capital
Subtotal
Regional Rail Capital
Highway Capital
Metro Capital Total
$
$
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
Congestion Management:
Freeway Service Patrol
ExpressLanes
Kenneth Hahn Call Box Program
Regional Integration of Intelligent Transportation System
Rideshare Services
Congestion Management Total
34
35
36
37
38
39
40
41
42
43
44
Expenditures
Page 17
Expenditures
Page 18
Page 19
(FTEs)
Page 20
(FTEs)
Board of Directors
Chief Executive Office
Communications
Congestion Reduction
Engineering and Construction
Finance and Budget
Information Technology
Operations
Planning and Development
Vendor/Contract Management
Total FTEs
Subtotal Agencywide Non-Contract
Subtotal Agencywide Union
Total FTEs
FY15
Budget
36
468
273
15
175
211
139
7,859
158
323
9,657
1,404
8,253
9,657
FY16
Proposed
39
482
278
18
190
219
142
7,859
161
329
9,717
1,459
8,258
9,717
Change
from FY15
3
14
5
3
15
8
3
3
6
60
55
5
60
Page 21
Board Of Directors
Board Of Directors
Inspector General
Board of Directors Total
Non-Contract
Total Board of Directors by Representation
Chief Executive Office
Chief Executive Office
Chief Policy Office
Enterprise Risk and Safety Management
Labor/Employee Relations
LAMPS (LA Metro Protective Services)
Program Management
Chief Executive Office Total
Non-Contract
Contract
Total Chief Executive Office by Representation
Communications
Community Relations
Customer Programs & Services
Customer Relations
Executive Office, Communications
Government Relations
Marketing
Public Relations
Communications Total
Non-Contract
Contract
Total Communications by Representation
Congestion Reduction
Congestion Reduction Demonstration Project
Motorist Services
Congestion Reduction Total
Non-Contract
Total Congestion Reduction by Representation
Engineering and Construction
Highway Project Delivery
Regional Rail
Transit Project Delivery
Engineering and Construction Total
Non-Contract
Total Engineering and Construction by Representation
Finance and Budget
Accounting
Finance & Treasury
Local Programming
Office of Management and Budget
Tap Operations
Finance and Budget Total
(FTEs)
FY15
Budget
FY16
Proposed
Change
from FY15
19
17
36
36
36
19
20
39
39
39
3
3
3
3
39
5
193
73
120
38
468
249
219
468
40
5
200
75
120
42
482
263
219
482
1
7
2
4
14
14
14
32
54
120
5
6
45
11
273
95
178
273
30
54
125
7
8
43
11
278
95
183
278
6
9
15
15
15
8
10
18
18
18
2
1
3
3
3
24
7
144
175
175
175
28
8
154
190
190
190
4
1
10
15
15
15
70
21
15
34
71
211
71
24
16
37
71
219
1
3
1
3
8
(2)
5
2
2
(2)
5
5
5
Page 22
Non-Contract
Contract
Total Finance and Budget by Representation
Information Technology
Information Technology Services
Research & Records Information Management
Information Technology Total
Non-Contract
Contract
Total Information Technology by Representation
Operations
Maintenance
Service Development
Strategic Planning Rail
Transit Operations - Bus
Transportation
Vehicle Engineering & Acquisition
Operations Total
Non-Contract
Contract
Total Operations by Representation
Planning and Development
Countywide Planning & Development
Planning/Strategic Financial Planning/Grants Mgmt
Strategic Initiatives & Real Property Management
Transit Corridors & Systemwide Planning
Planning and Development Total
Non-Contract
Total Planning and Development by Representation
Vendor/Contract Management
Administrative Services
Contract Support/Client Services
Diversity & Economic Opportunity
Procurement
Supply Chain Management
Vendor/Contract Management Total
Non-Contract
Contract
Total Vendor/Contract Management by Representation
FY15
Budget
142
69
211
FY16
Change
Proposed from FY15
150
8
69
219
8
130
9
139
88
51
139
133
9
142
91
51
142
3
3
3
3
2,805
93
293
12
4,617
39
7,859
285
7,574
7,859
2,803
93
296
12
4,617
38
7,859
285
7,574
7,859
2
52
62
42
158
158
158
2
52
64
43
161
161
161
2
1
3
3
3
6
14
25
70
208
323
161
162
323
6
14
27
73
209
329
167
162
329
2
3
1
6
6
6
1,404
8,253
9,657
1,459
8,258
9,717
55
5
60
(2)
3
(1)
-
89
(FTEs)
Page 23
(FTEs)
Page 24
Capital Program
Capital Program
Page 25
Capital Program
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
Forecasted
Expenditures
thru FY15
798,627
938,936
1,079,057
841,534
392,554
540,534
Life
of
Project
FY16
Proposed
408,719
31,800
393,384
105,752
245,331
347,721
2,066,476
978,900
1,517,521
950,517
1,467,244
2,882,365
143,602
4,783
149
215,600
30,000
11,685
4,417
16,102
10,011
23,398
13,749
7,579
9,183
6,257
3,291
4,824,780
4,702
1,975
5,433
436
2,268
3,455
1,267
1,556,810
Note
14,714
25,374
19,182
8,015
11,450
9,711
4,558
10,217,730
1
1
2
1
1
1
1
Page 26
54
55
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
Forecasted
Expenditures
thru FY15
223
12,288
6,126
46,727
5,865
23,796
4,454
$
461,859
170,411
25
16,392
1,395
12,412
3,470
14,569
2,883
$
23,998
7,770
1,509
53,057
107,713
10,650
175,464
$
Life
of
Project
FY16
Proposed
163,259
14,553
890,020
38,973
2,071
2,026
1,354
330
2,046,685
6,871,466
452
77,687
11,400
71,180
11,039
57,070
28,632
24,647
1,061
1,757
22,592
115,461
13,099
18,555
$
Note
1,015,483
81,230
14,176
9,684
275,175
916,362
27,231
246,658
192,938
2,776
863
2,732
1,818
2,074
957
437,349
900,688
41,772
10,418
7,878
4,913
5,400
4,007,466
1,994,159
14,225,195
1
2
3
4
5
6
7
8
9
10
11
Safety
&
Security
($ in thousands)
$
25
16,392
1,395
12,412
3,470
14,569
2,883
51,146
Asset
Improvement
&
Maintenance
$
163,259
24,647
1,061
1,757
22,592
115,461
13,099
18,555
360,430
Capital
Expansion
$
14,553
2,776
863
2,732
1,818
2,074
957
25,773
Mode
Total
$
177,837
41,039
3,837
3,152
35,867
121,663
29,486
2,074
22,395
437,349
Capital Program
Page 27
Capital Program
Page 28
Regional Subsidy
Funding Programs
Page 29
1
2
3
4
5
6
Local Agencies:
Allocation by Population:
7
Local Returns (Prop A, Prop C and Measure R)
8
Transportation Development Act Articles 3 & 8
9
Subtotal Allocation by Population
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
FY15
Budget
FY16
Proposed
$ Change
from FY15
% Change
from FY15
358.4 $
73.2
88.7
33.2
10.5
564.0 $
353.6 $
85.0
97.9
16.2
10.5
563.2 $
(4.8)
11.8
9.2
(17.0)
0.0
(0.9)
-1.3%
16.1%
10.4%
-51.3%
0.0%
-0.2%
427.5 $
32.3
459.8 $
444.5 $
31.5
476.0 $
17.1
(0.9)
16.2
4.0%
-2.6%
3.5%
40.9 $
24.2
0.9
3.0
0.6
3.4
73.1 $
42.1 $
17.8
1.3
5.7
0.1
6.8
73.9 $
1.2
(6.3)
0.4
2.7
(0.5)
3.4
0.9
2.9%
-26.2%
38.0%
88.9%
-80.5%
101.0%
1.2%
7.9 $
2.2
3.1
0.1
13.2 $
12.7 $
6.1
3.9
0.2
5.0
27.9 $
4.8
3.9
0.9
0.1
5.0
14.7
60.8%
178.4%
27.9%
140.0%
n/a
110.9%
2.0 $
2.0
5.5
9.5 $
10.6 $
2.5
6.2
19.3 $
8.6
0.5
0.7
9.7
427.6%
25.0%
12.1%
101.9%
555.7 $
597.1 $
41.5
7.5%
31.3 $
45.0
22.3
15.5
16.2
12.1
10.2
0.5
5.8
1.5
8.0
168.3 $
15.0 $
67.9
2.0
31.4
10.5
28.3
26.8
5.2
0.4
19.0
9.4
2.0
218.0 $
(16.3)
22.9
2.0
9.1
(4.9)
12.1
14.7
(5.0)
(0.2)
13.3
7.9
(6.0)
49.7
1,288.0 $
1,378.3 $
$
$
90.3
-52.1%
50.9%
n/a
40.8%
-31.9%
74.9%
122.1%
-48.7%
-30.0%
231.3%
523.3%
-75.0%
29.5%
7.0%
Page 30
Debt
Debt
Page 31
Bus
Rail
Bus
Rail
Highway
Total
Resources
Proposition A 35% Rail Set Aside (1)
2,343.7
9,885.1
12,712.1
27,293.7
10
11
12
13
148,516.3
62,897.5
44,675.9
-
148,516.3
143,139.8
2,069.8
72,782.6
9,878.4
12,712.1
13,504.4
55,651.2
27,044.1
1,534.5
44,675.9
43,897.6
10,312.7
2,180.2
2,178.8
143,139.8
2,069.8
72,733.3
13,504.4
55,142.2
1,534.5
43,897.6
-
7,163.1
28,098.2
6,792.2
62,854.9
1,534.5
2,343.7
10,312.7
6,792.2
14,987.5
28,357.5
(955.9)
15,943.4
2,180.2
18
1,534.5
14
17
Total
16
FY16 Proposed
Highway
7,163.1
10,301.6
10,301.6
2,178.8
313,200.4
28,357.5
357,501.3
15,661.5
307,905.4
28,098.2
(18,778.9)
(1,700.3)
(21,435.1)
(1,021.1)
(20,075.5)
(1,832.0)
(22,928.7)
294,421.5
26,657.3
336,066.3
14,640.4
287,829.9
26,266.2
328,736.5
351,665.2
Bus
Rail
Highway
Bus
Rail
Highway
$ 1,304,855.0
$ 15,976.1
$ 1,104,823.9
1,333,789.0
87,739.7
914,999.5
Total
20
Proposition A
$ 20,271.8
$ 1,284,583.2
21
Proposition C
93,365.2
973,666.0
22
Measure R (3)
686,050.0
266,757.8
-
686,050.0
869,420.0
250,684.8
$ 1,120,800.0
1,253,424.0
869,420.0
23
5,111.0
5,111.0
3,758.2
3,758.2
24
20,520.0
20,520.0
19,360.0
19,360.0
$ 3,350,325.0
$ 126,833.9
25
(1)
(2)
(3)
(4)
Debt
$ 139,268.0
$ 2,944,299.2
$ 266,757.8
$ 2,889,243.4
$ 250,684.8
$ 3,266,762.2
242,432
2,103,888
714,114
162,451
2,594,716
507,982
Premium: the amount by which the Market Price of a bond is higher than its Face Value. The amortization of Premium will reduce the annual
Proposition
A 35 Rail Set Aside includes Union Station Purchase debt funding: $4.6 million in FY15 and $4.3 million in FY16.
Premium: the amount by which the Market Price of a bond is higher than its Face Value. The amortization of Premium will reduce the annual
Amortizing
the difference between the market value of the debt instrument and the face value of the debt instrument over the life of the debt.
Measure R Bond was issued in November 2010.
The Debt Service Expense and Outstanding Principal Balance exclude USG Building General Revenue Bonds of $13.5 million Debt Service and $134.8 million
Outstanding Principal. It is treated as rent and reimbursed to the Enterprise Fund through the overhead allocation process. Also excludes $441
million of planned federal TIFIA loan drawdowns during FY16 to fund Crenshaw, Regional Connector, and Westside Purple Line Transit Construction.
Repayment of these loans will come from Measure R continency fund and commence in FY17.
Page 32
Measure R
Measure R
Page 33
Subfund
Expenditure Program
Transit Capital
% of
Sales
Tax
A
B
FY16
Estimated
FY16
Beginning Revenue
Fund
Budget
Balance
35.0% $
D=A+B-C
FY16
Expenditure
Budget
FY16
Estimated
Ending Fund
Balance
263.2
241.8 (1) $
21.4
20.0%
243.5
150.4
250.9
142.9
2.0%
34.7
15.0
49.8
Transit Capital
Operations
20.0%
3.2
150.4
151.6
2.0
Operations
5.0%
77.3
37.6
50.4
64.5
Administration
Administration
1.5%
31.4
11.5
12.8
30.0
Transit Capital
3.0%
46.9
22.6
69.5
Local Return
15.0%
0.0
112.8
112.8
437.1
763.5
939.6
260.9
10
18.7
18.7
11
(3)
140.5
140.5
(3)
441.1
441.1
12
15
16
437.1
437.1
600.3
600.3
$ 1,363.8
1,539.9
757.2
757.2
$ 2,121.0
2,297.2
260.9
260.9
Measure R
Page 34
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57
58
59
60
61
62
63
64
65
Measure R
Non-Measure R
Funds (1)
Funds (2)
Total Expenses
Measure R Funding / Projects ($ in millions)
Measure R Transit Capital - New Rail (35%)
Eastside Extension Phase II
$
$
2.0 $
2.0
Eastside Light Rail Access
5.4
5.4
Green Line Ext Redondo Beach-South Bay
0.4
0.4
Regional Connector
13.7
228.4
242.1
Sepulveda Pass Transit Corridor
3.5
3.5
Regional Clean Fuel Bus Capital
6.3
82.5
88.8
Airport Metro Connector
4.7
4.7
Gold Line Foothill
63.7
63.7
Westside Purple Line
238.6
106.0
344.6
Vehicle
50.0
70.9
120.9
San Fernando Valley East North/South Rapidways
2.3
2.3
West Santa Ana Branch Corridor
1.3
1.3
Expo II
140.5
72.4
213.0
Crenshaw
252.9
118.5
371.4
Expo I
13.8
13.8
Measure R Transit Capital - New Rail (35%) Total
$
779.5 $
698.4 $
1,477.9
Measure R Highway Capital (20%)
Countywide Soundwall Projects
$
15.9 $
$
15.9
High Desert Corridor
3.6
3.6
I-405, I-110, I-105, SR91 Ramp & Interchange
25.8
25.8
I-710 North Gap Closure
6.7
6.7
I-710 South Early Action Projects
34.4
34.4
Phase II Alameda Corridor E Grade Separation
14.0
14.0
SR-138 Capacity Enhancements
12.4
12.4
I-605 Corridor "Hot Spots"
15.7
15.7
Highway Operating Improvements Virgenes/Malibu
28.4
28.4
Highway Operating Improvements Arroyo Verdugo
10.7
10.7
Good Movements, I-5 N Truck Lanes, SR 71
0.3
0.3
BNSF Grade Sep Gateway Cities
I-5 South
83.0
83.0
I-5 North
0.2
0.2
Measure R Highway Capital (20%) Total
$
250.9 $
0.3 $
251.3
Measure R Transit Capital - Metro Rail (2%)
Blue Line
$
13.7 $
$
13.7
Eastside Quad Gate Study and Installation
1.0
1.0
Light Rail Fleet Midlife
14.6
14.6
Regional Connector
3.2
3.2
Transit Oriented Development
5.3
5.3
Gold Line Foothill
5.0
5.0
Westside Purple Line
3.2
3.2
Vehicle
5.0
5.0
Crenshaw
39.6
39.6
Fare Gate Project
5.5
5.5
Red/Purple Line Vehicle Midlife
4.9
5.1
10.0
Measure R Transit Capital - Metro Rail (2%) Total
$
61.3 $
44.7 $
106.0
Measure R Transit Capital - Metrolink (3%)
Metrolink Transit Capital
$
26.0 $
$
26.0
Vincent Grade/Action Station
5.7
5.7
Brighton To Roxford Double Track
3.9
3.9
Raymer to Bernson Double Track Project
8.2
3.5
11.7
Southern California Regional Interconnector Project (SCRIP)
16.5
16.5
Doran St. Grade Seperation
2.6
2.6
Other Projects
6.6
2.2
8.8
Measure R Transit Capital - Metrolink (3%) Total
$
69.5 $
5.7 $
75.2
Measure R Operations - Bus (20%)
Metro Bus Share
$
100.9 $
$
100.9
Metro Orange Line
4.3
4.3
Measure R 20% Formula Allocation to Muni Operators
46.4
46.4
Measure R Operations - Bus (20%) Total
$
151.6 $
$
151.6
Measure R Operations - New Rail (5%)
$
50.4 $
$
50.4
Measure R Administration (1.5%)
$
12.8 $
$
12.8
Measure R Local Return (15%)
$
112.8 $
$
112.8
$
51.1 $
8.0 $
59.1
Measure R Debt Service Expenses (3)
Grand Total
$
1,539.9 $
757.2 $
2,297.2
Note: Totals may not add due to rounding.
(1) Measure R funding sources include Measure R Bond Proceeds, Measure R cash and TIFIA loan.
(2) Funding
Measurefrom
R funding
sourcesRinclude
Bond
Proceeds,
Measure
R cash
and TIFIA
loan.million; State Subsidies
non-Measure
fundingMeasure
sourcesRfor
Measure
R projects:
Federal
Subsidies
$355.1
$200.4 million; Local Subsidies $201.7 million. Local Subsidies sources include Prop A 35 bond proceeds, Prop C 25 bond
proceeds, TDA, and local grants from cities.
(3) $2.3
Measure
R amortization
funding sources
Proceeds,
Measure RRcash
and source.
TIFIA loan.
million
costinclude
of bondMeasure
premiumRisBond
included
as non-Measure
funding
Current debt service expenses
are funded by Measure R Transit Capital - New Rail 35% and Measure R Transit Capital - Metro Rail 2%.
Measure R
Page 35
Measure R
Page 36
Funds
Funds
Page 37
Governmental Funds
Estimated Fund Balances
for the Year Ending June 30, 2016
Fund Type
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
($ in millions)
Proposition A:
Discretionary Transit (95% of 40%)
Discretionary Incentive (5% of 40%)
Rail (35%)
Interest
Total Proposition A
Proposition C:
Discretionary (40%)
Security (5%)
Commuter Rail (10%)
Street & Highway (25%)
Interest
Total Proposition C
Measure R:
Administration (1.5%)
Transit Capital - Metrolink (3%)
Transit Capital - Metro Rail (2%)
Transit Capital - New Rail (35%)
Highway Capital (20%)
New Rail Operations (5%)
Bus Operations (20%)
Total Measure R
$
$
$
$
13.2
12.4
2.3
6.6
34.6
(1)
228.0
11.6
69.9
16.4
326.0
(1)
30.0
21.4
142.9
64.5
2.0
260.9
(2)
(1)
(2)
(1)
23
24
14.7
242.2
3.7
260.5
(1)
(1)
(1)
(1)
28
11.5
11.5
32
Total PTMISEA
(3)
108.9
33
16.4
(2)
34
53.0
(1)
127.1
258.1
385.2
1,456.9
General Fund:
Administration - Proposition A, C, & TDA
37
Mandatory Operating Reserve
38
General Fund / Other
39 Total General Fund
35
36
40
(2)
Funds
Page 38
Governmental Funds
Statement of Revenues, Expenditures and Changes in Fund Balances
for the Years Ending June 30, 2015 and 2016
Special Revenue Fund (1)
Governmental Funds
FY15
Budget
($ in millions)
FY16
Proposed
General Fund
FY15
Budget
Total
FY16
Proposed
FY15
Budget
FY16
Proposed
$ 2,702.2
$ 2,785.4
399.7
315.2
1 Revenue
2
Sales Tax
(2)
$
(3)
2,702.2
2,785.4
377.9
268.4
Investment Income
0.5
0.1
4.1
4.1
4.6
4.2
16.2
14.2
16.2
14.2
0.5
0.5
0.5
0.5
Other
Intergovernmental Grants
4
5
8 Total Revenues
21.9
46.8
0.2
3,080.6
3,053.9
1,232.9
1,309.5
42.8
30.2
19.6
0.2
19.6
85.2
$ 3,123.4
$ 3,139.1
9
10 Expenditures
11
Subsidies
12
Operating Expenditures
13
14
15 Total Expenditures
278.1
207.0
47.9
$ 1,263.2
$ 1,357.5
132.4
144.6
410.6
351.5
1.0
1.2
1.0
1.2
1.0
1.2
1.0
1,511.1
1,516.5
164.8
1.2
$
194.7
$ 1,675.9
$ 1,711.1
79.4
18.0
135.0
87.2
16
17 Transfers
18
Transfers In
19
Transfers (Out)
20
21 Total Transfers
(2,406.4)
(1,876.6)
90.4
$ (2,236.6) $
(25.7)
108.6
(1,750.0) $
109.3
(114.2)
(2,432.1)
0.4
$
214.4
105.2
(1,990.8)
90.4
109.0
22
23 Net Change in Fund Balances
(667.1) $
(212.5) $
(12.7) $
(136.1) $
(679.8) $
(348.6)
24
25 Fund Balances - beginning of year (4) $
1,905.5
1,284.2
512.6
521.3
$ 2,418.1
$ 1,805.5
1,238.4
1,071.7
499.9
385.2
$ 1,738.2
$ 1,456.9
Includes TDA, STA, and SAFE revenues in addition to Proposition A, C, and Measure R sales tax revenues.
(3)
Includes grant revenues from Federal, State and Local sources including tolls.
(4)
Beginning FY16 Fund Balances reflect anticipated unspent FY15 budgeted expenditures.
Funds
Page 39
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
FY15
Budget
(1)
Other Revenues
Total Fare and Other Revenues
Federal & State Grants
Federal Preventive Maintenance
Federal CMAQ
Federal and States Grants
Total Federal and State Grants
Local Subsidies
Prop A - (40% Bus) & (35% Rail)
Prop C - (40% Bus/Rail) & (5% Security)
Measure R - (20% Bus) & (5% Rail)
TDA Article 4
STA
Toll Revenue Grant
General Fund & Other Funds
Total Local Subsidies
Total Transit Operations Resources
Transit Capital Resources
Federal, State & Local Grants
Local and State Sales Tax (2)
Other Capital Financing
Total Transit Capital Resources
Total Transit Operations & Capital Resources
Transit Operations Expenses
Labor & Benefits
Fuel & Propulsion Power
Materials & Supplies
Contract and Professional Services
PL/PD and Other Insurance
Purchased Transportation
$
$
$
$
$
$
$
$
$
227.0
23.0
13.6
263.6
455.8
58.5
136.0
32.0
85.7
2.9
770.9
1,414.2
808.5
920.1
317.4
2,046.0
3,460.3
42
3,460.3
43
30
31
32
33
34
35
36
37
38
39
40
41
351.1
21.5
7.1
379.7
885.4
65.1
96.2
181.8
51.2
45.9
58.9
29.7
1,414.2
2,011.9
34.1
2,046.0
29
Total
Bus
376.0
22.5
5.3
403.8
221.6
10.8
12.5
244.9
249.2
69.9
155.7
233.7
91.3
4.2
19.0
823.1
1,471.7
643.3
457.9
899.0
2,000.2
3,471.9
942.7
62.6
95.3
176.3
50.9
47.0
64.4
32.6
1,471.7
1,973.7
26.5
2,000.2
3,471.9
$
$
$
$
Rail
280.2
20.2
3.9
304.3
145.3
145.3
160.1
52.6
105.3
221.7
40.5
4.2
14.1
598.5
1,048.2
74.7
153.7
15.0
243.5
1,291.6
712.2
25.0
68.7
61.9
46.4
47.0
42.9
22.5
21.5
1,048.2
243.5
243.5
1,291.6
$
$
$
$
$
$
$
$
95.8
2.3
98.1
1.4
1.4
$
$
79.0
17.3
50.4
50.8
4.9
202.4
399.4
568.5
304.2
883.9
1,756.7
2,156.0
$
$
2,156.0
Regional
Activities
76.3
10.8
11.8
98.9
206.5
37.6
22.4
97.2
4.4
16.2
7.6
7.5
399.4
1,730.2
26.5
1,756.7
Transit
Court
$
$
$
$
$
$
0.1
0.1
1.4
1.4
$
$
$
$
0.7
0.7
10.1
12.0
22.1
22.8
22.8
0.5
0.7
0.1
1.4
-
23.5
4.2
16.4
5.1
(30.1)
3.6
22.8
-
1.4
22.8
Funds
Page 40
Total
Union
Station
Express
Lanes
Park &
Ride
2
3
Local Subsidies
Prop A
0.7
$
$
40.8 $
-
0.4
62.2
3.1
0.4
40.1 $
2.7
65.3
2.7 $
0.7
3.0
62.2
0.4
62.2
0.4
0.7
3.7
41.2 $
69.0
2.7 $
2.7
0.5
3.0
3.7
62.2
4.1
1.7
0.5
13
14
15
16
17
1.9
0.3
0.3
31.7
44.5
1.4
40.1
3.1
0.2
0.2
0.2
Purchased Transportation
18
Allocated Overhead
0.8
0.9
0.2
0.5
0.2
18
Regional Chargeback
19
Other Expenses
34.7 $
48.6 $
2.3 $
42.3 $
4.0
23
2.9
24
2.5
6.2
25
26
Union Station
27
0.2
0.9
(1)
1.9
1.9 $
6.2
6.6
6.6
0.5
0.5
6.5 $
15.1
5.3 $
0.5 $
-
14.6
5.3 $
Net Tolls are designated for the Metro ExpressLanes Net Toll Revenue Reinvestment Program.
Funds
Page 41
Funds
Page 42
Service Statistics
Service Statistics
Page 43
% Inc
7,062
78,950
7,062
78,950
0.0%
0.0%
1,028
21,584
1,094
22,844
6.5%
5.8%
8,090
100,533
8,156
101,794
0.8%
1.3%
359,260
1,485,414
359,260
1,485,414
0.0%
0.0%
114,111
644,821
121,516
680,113
6.5%
5.5%
473,371
2,130,235
480,776
2,165,527
1.6%
1.7%
5.2% $ 84,744
-2.7% $ 2,297
4.5% $ 87,041
$ 95,760
$ 2,297
$ 98,057
375,966
26,427
402,393
7.1%
-2.7%
6.4%
FY15
Budget
Statistic
Service Provided (000)
2
Revenue Service Hours (RSH)
3
Revenue Service Miles (RSM)
FY15
Budget
Rail
FY16
Proposed
FY15
Budget
% Inc
Total
FY16
Proposed
% Inc
$
$
$
$ 375,642
$ 300,050
$ 343,413
$ 1,019,105
$ 380,222
$ 312,506
$ 355,431
$ 1,048,159
1.2%
4.2%
3.5%
2.9%
$ 59,419
$ 160,719
$ 149,950
$ 370,088
$ 64,023
$ 174,718
$ 160,631
$ 399,372
7.7%
8.7%
7.1%
7.9%
$ 435,061
$ 460,769
$ 493,363
$ 1,389,193
$ 444,245
$ 487,224
$ 516,062
$ 1,447,531
2.1%
5.7%
4.6%
4.2%
2.2% $ 283,047
$ 301,315
6.5% $ 1,011,018
$ 1,045,138
3.4%
7
8
266,322
24,812
291,134
$
$
$
280,206
24,130
304,336
13.0% $
0.0% $
12.7% $
351,066
27,109
378,175
$
$
$
11
12
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
$
$
$
$
$
$
$
$
$
$
$
$
$
$
727,971
0.74 $
2.84 $
2.03 $
4.13
26.1%
41.23
50.87
210.35
53.19
42.49
48.63
144.31
103.09
0.20
0.05
0.25
0.20
0.23
0.69
0.49
743,823
0.78
2.92
2.07
4.13
26.7%
5.4% $
2.9% $
2.2% $
0.0%
0.6%
43.10
50.87
210.35
53.84
44.25
50.33
148.43
105.33
4.5%
0.0%
0.0%
1.2%
4.2%
3.5%
2.9%
2.2%
0.20
0.05
0.26
0.21
0.24
0.71
0.50
0.0%
0.0%
1.2%
4.2%
3.5%
2.9%
2.2%
5.58
0.12
0.06
-
5.58
0.12
0.06
-
0.0%
0.0%
0.0%
-
0.47
0.47
0.0%
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
0.74 $
3.24 $
2.48 $
5.65
22.9%
84.69
111.02
627.38
57.81
156.37
145.89
360.08
275.39
0.13
0.03
0.09
0.25
0.23
0.57
0.44
0.78
3.29
2.48
5.60
24.0%
5.4% $
1.3% $
0.0% $
-1.0%
1.1%
89.59
111.02
621.39
58.50
159.63
146.76
364.89
275.30
5.8%
0.0%
-1.0%
1.2%
2.1%
0.6%
1.3%
0.0%
0.14
0.03
0.09
0.26
0.24
0.59
0.44
6.8%
0.0%
0.0%
3.1%
1.6%
2.3%
0.9%
3.78
0.11
0.05
29.53
4.03
0.11
0.05
29.53
6.5%
0.0%
0.0%
0.0%
1.33
1.39
4.2%
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
0.74 $
2.93 $
2.14 $
4.50
25.3%
46.75
58.52
263.33
53.78
56.96
60.99
171.73
124.98
0.18
0.05
0.20
0.22
0.23
0.65
0.47
0.78
3.01
2.17
4.50
26.0%
5.4%
2.6%
2.2%
0.0%
0.7%
49.34
58.52
265.51
54.47
59.74
63.27
177.48
128.14
5.5%
0.0%
0.8%
1.2%
3.2%
3.7%
3.3%
2.2%
0.19
0.05
0.20
0.22
0.24
0.67
0.48
4.7%
0.0%
0.0%
0.0%
2.9%
2.5%
1.7%
4.99
0.11
0.05
29.53
5.02
0.11
0.05
29.53
0.5%
0.0%
0.0%
0.0%
0.59
0.60
2.5%
$
$
$
$
$
$
$
$
$
$
Service Statistics
Page 44
Mode
1
Inc/(Dec)
FY15
Budget
Mode
FY16
Proposed Inc/(Dec)
Bus
Local & Rapid
6,327,663
6,327,663
330,015
330,015
Silver Line
84,380
84,380
Silver Line
3,978
3,978
Orange Line
130,516
130,516
Orange Line
8,957
8,957
Purchased Transp
519,176
519,176
Purchased Transp
16,310
16,310
Subtotal Bus
7,061,735
7,061,735
Subtotal Bus
359,260
359,260
3
4
6
7
FY16
Proposed
Bus
Boardings (000s)
Rail
Rail
Blue Line
294,483
294,483
Blue Line
27,597
27,597
Green Line
93,589
93,589
Green Line
13,315
13,315
10
Gold Line
190,057
214,069
24,012
Gold Line
13,594
16,260
2,666
11
Expo Line
124,160
166,848
42,688
Expo Line
9,222
13,961
4,739
12
Heavy Rail
325,510
325,510
Heavy Rail
50,383
50,383
Subtotal Rail
1,027,799
1,094,499
66,700
Subtotal Rail
114,111
121,516
7,405
8,089,534
8,156,234
66,700
473,371
480,776
7,405
13
14
Totals
Mode
1
Totals
Inc/(Dec)
Bus
Mode
FY15
Budget
FY16
Proposed Inc/(Dec)
Bus
Local & Rapid
68,701,920
68,701,920
1,335,293
1,335,293
Silver Line
1,831,046
1,831,046
Silver Line
15,672
15,672
Orange Line
2,140,454
2,140,454
Orange Line
56,841
56,841
Purchased Transp
6,276,209
6,276,209
Purchased Transp
77,608
77,608
Subtotal Bus
78,949,629
78,949,629
Subtotal Bus
1,485,414
1,485,414
6
7
Rail
Rail
Blue Line
5,427,387
5,427,387
Blue Line
197,545
197,545
Green Line
2,730,794
2,730,794
Green Line
85,788
85,788
10
Gold Line
3,750,486
4,224,326
473,840
Gold Line
82,263
98,396
16,133
11
Expo Line
2,288,299
3,075,049
786,750
Expo Line
37,280
56,439
19,159
Heavy Rail
241,945
241,945
Subtotal Rail
644,821
680,113
35,292
2,130,235
2,165,527
35,292
Heavy Rail
7,386,642
7,386,642
Subtotal Rail
21,583,608
22,844,199
1,260,591
100,533,237
101,793,828
1,260,591
12
13
14
Totals
Totals
Service Statistics
Page 45
Service Statistics
Page 46
Page 47
1
2
3
4
5
6
7
8
9
Activities
Transportation
Wages & Benefits
Services
Materials & Supplies
Training
Control Center
Scheduling & Planning
Field Supervision
Total Transportation
FY15 Budget
$000
$/RSH
$
346,023
63
378
7,046
7,898
4,444
9,789
375,642
$ 52.89
0.01
0.06
1.08
1.21
0.68
1.50
$ 57.42
FY16 Proposed
$000
$/RSH
$
350,420
58
387
7,050
8,168
4,580
9,560
380,222
$ 53.56
0.01
0.06
1.08
1.25
0.70
1.46
$ 58.12
Inc/(Dec)
$000
$/RSH
$
4,397 $
(6)
9
4
269
135
(229)
4,580 $
0.67
0.04
0.02
(0.03)
0.70
149,023 $ 22.78 $
28,143
4.30
44,251
6.76
(1,000)
(0.15)
224
0.03
220,641 $ 33.72 $
10,978 $
(3,773)
316
(125)
8
7,404 $
1.68
(0.58)
0.05
1.13
3,586 $
(1)
3,585 $
0.55
0.55
0.32
0.08
(0.21)
0.03
0.22
10
11
12
13
14
15
16
17
18
Maintenance
Division Maintenance
Wages & Benefits
Fuel
Materials & Supplies
Fueling Contractor Reimbursement
Services
Subtotal Division Maintenance
138,045 $ 21.10 $
31,916
4.88
43,935
6.72
(875)
(0.13)
216
0.03
213,237 $ 32.59 $
19
20
21
22
23
24
Central Maintenance
Wages & Benefits
Materials & Supplies
Maintenance Services
Subtotal Central Maintenance
17,245
5,196
197
22,637
15,417
7,427
39,194
2,137
64,176
300,050
2.64
0.79
0.03
3.46
2.36
1.14
5.99
0.33
9.81
$ 45.86
20,831
5,196
195
26,222
17,536
7,973
37,816
2,319
65,643
312,506
3.18
0.79
0.03
4.01
2.68
1.22
5.78
0.35
$ 10.03
2,118 $
545
(1,377)
181
1,468 $
$ 47.77
12,457
25
26
27
28
29
30
31
Other Maintenance
Maintenance Support
Non-Revenue Vehicles
Facilities Maintenance
Training
Subtotal Other Maintenance
32
33
Total Maintenance
1.90
Page 48
34
35
36
37
38
39
40
41
42
43
44
45
46
Activities
Other Operating
Transit Security
Revenue
Service Development
Safety
Casualty & Liability
Workers' Comp
Transitional Duty Program
Utilities
Other Metro Operations
Building Costs
Copy Services
Total Other Operating
FY15 Budget
$000
$/RSH
$
FY16 Proposed
$000
$/RSH
30,675
33,114
11,942
3,495
47,293
47,456
1,094
14,903
9,242
11,486
1,142
211,843
4.69
5.06
1.83
0.53
7.23
7.25
0.17
2.28
1.41
1.76
0.17
$ 32.38
578
5,181
1,782
22,936
11,595
10,310
3,624
2,607
20,787
2,162
1,042
82,604
0.09
0.79
0.27
3.51
1.77
1.58
0.55
0.40
3.18
0.33
0.16
$ 12.63
Inc/(Dec)
$000
$/RSH
30,758
31,616
10,904
3,715
46,633
49,778
1,129
16,276
9,314
11,517
1,131
212,771
4.70
4.83
1.67
0.57
7.13
7.61
0.17
2.49
1.42
1.76
0.17
$ 32.52
1,797
6,793
1,824
24,511
13,286
11,840
3,810
4,002
21,559
2,231
1,108
92,760
0.27
1.04
0.28
3.75
2.03
1.81
0.58
0.61
3.30
0.34
0.17
$ 14.18
83 $
(1,497)
(1,038)
220
(660)
2,322
35
1,373
72
30
(11)
928 $
0.01
(0.23)
(0.16)
0.03
(0.10)
0.36
0.01
0.21
0.01
0.14
47
48
49
50
51
52
53
54
55
56
57
58
59
60
Support Departments
Board Oversight
CEO
Management Audit Services
Procurement
Communications
Finance
Human Resources
Real Estate
ITS
Administration
Construction
Total Support Departments
1,219
1,611
42
1,575
1,691
1,530
186
1,394
772
69
66
10,156
0.19
0.25
0.01
0.24
0.26
0.23
0.03
0.21
0.12
0.01
0.01
1.55
28,121
-
4.30
61
62
63
970,138
6,543
$ 148.28
998,259
6,543
$ 152.58
45,940
2,439
587
48,967
519
$ 88.49
4.70
1.13
$ 94.32
46,980
2,441
479
49,900
519
$ 90.49
4.70
0.92
$ 96.11
$ 144.31
$ 1,048,159
7,062
$ 148.43
64
65
66
67
68
69
70
Purchased Transportation
Contracted Service
Security
Administration
Total Purchased Transportation
Purchased Transportation RSH
1,039 $
2
(109)
933 $
-
2.00
(0.21)
1.80
71
72
73
29,054
-
4.11
Page 49
Activities
Transportation
Wages & Benefits
Materials & Supplies
Other
Control Center
Training
Total Transportation
FY15 Budget
$000
$/RSH
$
44.19
0.13
0.03
11.72
1.75
57.81
41.94
12.58
0.12
0.01
54.64
27.49
4.09
0.73
35.20
0.54
68.05
0.56
2.06
29.48
1.58
33.68
$ 160,719
65,293
20,237
101
5,181
4,199
7,633
60
2,293
4,263
3,259
324
$ 112,844
56
2,149
506
6,797
5,662
3,168
2,267
1,028
4,762
724
9,988
37,106
$ 370,088
1,028
45,417
130
34
12,044
1,794
59,419
43,101
12,929
121
9
56,160
28,253
4,207
747
36,177
559
69,943
571
2,117
30,304
1,624
34,616
FY16 Proposed
$000
$/RSH
45.32
0.12
0.03
11.27
1.75
58.50
46.93
11.96
0.09
58.99
26.81
3.87
0.57
33.53
0.52
65.29
2.18
2.16
29.11
1.89
35.35
$ 174,718
63.53
19.69
0.10
5.04
4.09
7.43
0.06
2.23
4.15
3.17
0.32
109.79
65,616
19,764
213
5,164
4,551
8,879
60
3,250
6,724
4,241
416
$ 118,879
55
3,146
672
7,929
5,996
6,105
3,189
1,403
6,381
877
5,999
41,751
0.05
2.09
0.49
6.61
5.51
3.08
2.21
1.00
4.63
0.70
9.72
36.10
360.08
$ 399,372
1,094
49,608
132
31
12,332
1,919
64,023
51,366
13,093
102
4
64,565
29,341
4,240
620
36,696
565
71,463
2,387
2,365
31,865
2,073
38,690
156.37
Inc/(Dec)
$/RSH
4,190 $
2
(3)
288
126
4,604 $
1.14
(0.01)
(0.45)
0.01
0.68
8,265 $
165
(19)
(6)
8,405 $
5.00
(0.62)
(0.02)
(0.01)
4.35
1,088 $
33
(127)
519
7
1,520 $
(0.68)
(0.22)
(0.16)
(1.67)
(0.03)
(2.76)
1,816
248
1,560
449
4,074
1.63
0.10
(0.37)
0.31
1.67
159.63
13,999
3.26
59.95
18.06
0.19
4.72
4.16
8.11
0.05
2.97
6.14
3.88
0.38
108.61
0.05
2.87
0.61
7.24
5.48
5.58
2.91
1.28
5.83
0.80
5.48
38.15
364.89
8
9
10
11
12
13
14
15
Maintenance
Vehicle Maintenance
Wages & Benefits
Materials & Supplies
Services
Other
Subtotal Vehicle Maintenance
16
17
18
19
20
21
22
23
Wayside Maintenance
Wages & Benefits
Materials & Supplies
Services
Propulsion Power
Other
Subtotal Wayside Maintenance
24
25
26
27
28
29
Other Maintenance
Maintenance Support
Non-Revenue Vehicles
Facilities Maintenance
Maintenance Training
Subtotal Other Maintenance
$
$
30
31
Total Maintenance
32
33
34
35
36
37
38
39
40
41
42
43
44
45
Other Operating
Transit Security
Revenue
Service Development
Safety
Casualty & Liability
Workers' Comp
Transitional Duty Program
Utilities
Other Metro Operations
Building Costs
Copy Services
Total Other Operating
323 $
(473)
112
(17)
352
1,246
958
2,461
982
92
6,035 $
(3.58)
(1.63)
0.10
(0.32)
0.07
0.69
0.74
2.00
0.70
0.07
(1.18)
(1) $
997
166
1,132
334
2,937
922
375
1,619
152
(3,989)
4,645 $
0.78
0.12
0.63
(0.03)
2.50
0.71
0.28
1.20
0.10
(4.24)
2.04
46
47
48
49
50
51
52
53
54
55
56
57
58
59
Support Departments
Board Oversight
CEO
Management Audit Services
Procurement
Communication
Real Estate
Finance
Human Resources
ITS
Administration
Construction
Total Support Departments
60
61
62
29,284
67
4.81
Page 50
Appendix I
Legally Separate Entities
Appendix I
Page 51
1
2
3
4
5
PTSC ($ in millions)
Revenue
Expenses
Increase(decrease) in retained earnings
Retained earnings - beginning of year
Retained earnings - end of year
FY15
Budget
$
305.8
305.8
$
-
FY16
Proposed
$
330.5
330.5
$
-
FY15
Budget
$
397.5
397.5
$
-
FY16
Proposed
$
429.6
429.6
$
-
Notes:
- FY16 Budget is composed of Phase I $31.8 million and Phase II $397.8 million.
- Funding for all Expo projects LOP is provided by Metro. Additional funding
outside the LOP is provided by municipalities for improvements within their city
limits.
Appendix I
Page 52
FY15
FY16
Budget
Proposed
$
8.0 $
7.6
11.6
10.3
(3.6)
(2.7)
(5.0)
(2.0)
29.7
21.1
$
21.1 $
16.4
Appendix I
Page 53
Appendix I
Page 54
Appendix II
Capital Program Project Listing
Appendix II
Page 55
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
55
56
57
58
59
60
61
62
63
64
65
66
67
68
69
70
71
72
73
Forecasted
Expenditures thru
FY15
$
$
$
$
5,276
656,250
5,526
20,023
111,552
798,627
851,437
77,377
10,122
938,936
522
25,385
141,414
845,367
392
2,463
1,545
61,968
1,079,057
2,080
622,337
425
202,408
14,284
841,534
336,780
22,598
6,075
27,101
392,554
$
$
854
453,675
40,600
8,505
36,901
540,534
4,591,242
143,602
4,783
148,385
$
$
11,685
11,685
4,751,312
$
$
$
$
Appendix III
FY16
Proposed
Life of Project
3,200
365,930
39,589
408,719
3,300
13,800
14,700
31,800
2,290
26,587
160,724
140,541
63,242
393,384
57,725
5,029
42,998
105,752
3,200
4,036
228,417
9,057
621
245,331
3,150
6,553
280,436
57,232
350
347,721
1,532,709
3,200
5,276
2,058,000
2,066,476
2,080
741,000
207,437
950,517
3,200
4,036
1,420,017
39,991
1,467,244
215,600
149
149
30,000
245,600
$
$
4,417
4,417
1,537,274
$
$
16,102
16,102
10,124,725
$
$
4,702
1,975
5,433
436
2,268
3,455
1,267
19,536
1,556,810
$
$
11,000
1,500,158
2,463
3,900
1,517,521
$
$
New
978,900
978,900
950
3,150
6,553
2,773,880
97,832
2,882,365
9,863,023
$
$
Note
14,714
25,374
19,182
8,015
11,450
9,711
4,558
93,004
10,217,730
New
New
New
New
2
2
2
3
2
2
2
2
Page 56
Safety / Security
Rail
Blue Line
Metro Blue Line and Metro Green Line Transit Passenger Info System
Metro Blue Line Pedestrian & Swing Gate Installations
Metro Blue Line Signal System Rehabilitation
Blue Line Total
Green Line
Metro Green Line Signal System Rehabilitation
Metro Green Line Signal System Rehabilitation - Phase 2
Green Line Total
Red/Purple Line
Metro Rail Station Entrance Gating
Metro Red Line Gas Analyzer Upgrade
Metro Red Line Operator Cab Camera Installation
Metro Red Line Tunnel Lighting Rehabilitation
Metro Red Line UC Pedestrian Bridge
Metro Red/Purple Lines Platform Gates Replacement
Red/Purple Line Total
Multiple Lines
Metro Security Kiosks at Rail Stations
Platform Track Intrusion Detection System
Seismic Monitoring System Replacement
Supervisory Control & Data Acquisition System Security Enhancement
Union Station Smart High Definition CCTV
Multiple Lines Total
Rail Total
Bus
Emergency Operations Booth at Divisions
Bus Total
Mixed Mode
Fare Gate Project
Metro Emergency Operations Center
Metro Intelligent Video
Metro Red Line to Orange Line Underpass at North Hollywood Station
Video Security System Enhancement
Mixed Mode Total
Other
Agency Information Security and Compliance Program
Simulcast Security Radio System Upgrade
Universal Fare System Security - Purchase Card Industry Compliance
Other Total
Total Safety / Security
FY16
Proposed
Life of Project
4,545 $
2,573
5,171
12,288 $
1,442 $
5,003
9,947
16,392 $
5,987
7,700
64,000
77,687
3,331 $
2,794
6,126 $
269 $
1,126
1,395 $
3,600
7,800
11,400
20,584 $
404
5,355
2,877
17,507
46,727 $
$
1,505
15
917
9,793
183
12,412 $
21,000
4,000
6,380
9,000
27,300
3,500
71,180
$
$
4,255 $
90
368
1,152
5,865 $
71,006 $
872 $
2,130
60
408
3,470 $
33,669 $
5,150
2,400
275
1,365
1,849
11,039
171,306
223
223 $
25
25 $
452
452
527 $
9,314
1,020
10,284
2,651
23,796 $
5,531 $
1,316
7,722
14,569 $
14,987
16,103
1,020
22,000
2,960
57,070
$
625
3,830
4,454 $
99,479 $
710 $
2,173
2,883 $
51,146 $
7,814
1,318
19,500
28,632
257,461
1,186 $
651
1,114
1,825
2,256
14,246
2,008
67
644
23,998 $
39 $
2,216
202
2,331
1,952
13,653
782
1,970
1,502
24,647 $
2,200
8,000
1,800
13,000
13,000
33,430
3,000
2,200
4,600
81,230
$
$
$
$
$
$
$
$
$
$
Note
New
New
New
Rail
Blue Line
Division 11 Body Shop Ventilation
Long Beach Duct Bank Upgrade Phase 2
Metro Blue Line Communication & Signal Building Rehabilitation
Metro Blue Line Overhead Catenary System Rehabilitation
Metro Blue Line Rail Replacement & Booting
Metro Blue Line Station Refurbishments
Metro Blue Line Turnout Replacement
Metro Blue Line Wheel True Machine
Metro Blue Line Yard Signal System Rehabilitation
Blue Line Total
Note: Totals may not add due to rounding.
Appendix III
Page 57
130
131
132
133
134
135
136
137
138
139
140
141
142
143
144
145
146
147
148
149
150
151
152
153
154
155
156
157
158
159
160
161
162
163
164
165
166
167
168
169
170
171
172
173
174
175
176
177
178
179
180
181
182
183
184
185
186
187
Appendix III
Forecasted
Expenditures
thru FY15
$
$
$
$
$
$
$
$
$
FY16
Proposed
Life of Project
133 $
153
176
810
5,893
200
405
7,770 $
163 $
239
208
341
56
54
1,061 $
505
670
1,024
1,400
9,227
750
600
14,176
194 $
1,035
4
276
1,509 $
1,082 $
375
300
1,757 $
5,500
1,484
1,500
1,200
9,684
$
12,637
1,717
3,368
500
9,039
2,515
5
125
926
541
2,663
19,021
53,057 $
82 $
750
1,900
4,865
4,989
121
1,377
3,092
63
14
195
5,145
22,592 $
4,000
15,400
1,900
52,000
130,910
675
12,000
20,756
1,400
300
975
1,800
3,059
30,000
275,175
1,100 $
13,516
1,039
550
6,096
1,216
16,941
31,614
1,921
8,261
10,014
3,284
12
407
936
2,007
3,309
4,370
248
5
158
708
107,713 $
194,048 $
1,150 $
3,563
1,279
795
2,888
10,001
4,614
51,615
1,626
3,476
4,860
2,374
540
156
224
20,000
3,034
2,006
115
1,145
115,461 $
165,517 $
4,000
25,000
4,250
3,600
15,883
100,800
30,000
589,659
4,500
17,446
26,360
3,364
3,596
30,000
1,557
620
2,231
20,000
13,000
8,000
677
120
9,700
2,000
916,362
1,296,627
Note
New
New
New
Page 58
188
189
190
191
192
193
194
195
196
197
198
199
200
201
202
203
204
205
206
207
208
209
210
211
212
213
214
215
216
217
218
219
220
221
222
223
224
225
226
227
228
229
230
231
232
233
234
235
236
237
238
239
240
241
242
243
244
245
246
247
248
249
250
251
252
253
254
255
256
257
258
259
260
261
262
263
Appendix III
Forecasted
Expenditures
thru FY15
$
$
$
$
$
$
$
FY16
Proposed
Life of Project
$
262,494
1,312
19,491
13,254
81,016
26,121
1,625
625
1,169
3,656
12,209
50
1,533
2,723
559
3,947
5,794
2,528
12,069
1,311
840
849
6,684
461,859 $
196 $
82,500
1,074
1,422
966
3,046
10,251
13,001
250
4,000
351
4,250
1,047
515
2,392
991
449
236
695
3,086
30
2,154
276
5,113
14,509
493
75
34
9,750
108
163,259 $
51,436
503,443
4,250
21,650
21,231
20,896
68,669
101,488
250
24,690
785
32,112
2,928
3,102
20,866
33,375
13,200
1,426
500
2,254
6,500
615
7,845
6,923
9,093
30,984
4,249
1,521
987
9,750
965
7,500
1,015,483
1,252 $
752
10
759
81
1,908
596
1,504
1,412
665
1,252
450
9
10,650 $
$
835
175
295
379
380
234
3,848
113
2,758
3,523
485
50
23
13,099 $
1,423
1,659
185
1,500
761
2,288
897
1,583
5,291
1,687
4,010
3,523
985
500
938
27,231
500 $
2,356
6,892
1,594
2,616
757
8,785
1,375
13,363
17,245
4,367
10,734
5,571
95,628
300
271
2,163
947
175,464 $
842,021 $
462 $
300
669
736
25
2,230
1,263
100
3,247
73
225
258
412
1,009
3,109
1,509
122
71
600
656
1,478
18,555 $
360,430 $
1,500
3,800
7,561
2,330
2,843
4,200
12,900
1,895
42,842
73
2,589
978
20,072
1,921
5,376
17,311
7,080
97,607
6,042
2,043
3,096
2,600
246,658
2,585,998
Note
New
New
New
New
New
New
New
New
New
New
New
Page 59
FY16
Proposed
Life of Project
Note
Rail
Gold Line
Foothill Extension - Warehouse High Density Storage Equipment at Monrovia
Gold Line Eastside Extension
Gold Line Total
Red/Purple Line
Lankershim Depot Restoration Project at Red Line North Hollywood
Metro Red Line Segment 2 Closeout
Metro Red Line Segment 3 North Hollywood Closeout
Wayside Energy Storage Substation (WESS)
Red/Purple Line Total
Multiple Lines
Electronic Vehicle Charging Stations at Metro Rail Maintenance Facilities
Light Rail Transit Freeway Stations Sound Enclosures
Public Plug-In Charge Station
Rail Facility Sub-Metering Project - Division 11, 22, and 60
Rail Facility Sub-Metering Project - Division 20 & 21
Multiple Lines Total
Rail Total
Bus
Bus Facility Sub-Metering Project - Division 1, 2, 4, 9, and 18
Bus Facility Sub-Metering Project - Division 3, 6, 8, and 15
Bus Rapid Transit Freeway Station Sound Enclosure
Bus Stop Information System Project
Cesar Chavez Bus Stop Improvements
Countywide Signal Priority Module
Division 13 Construction
El Monte Busway & Transit Center Expansion
Hawthorne/Lennox Bus Layover
Metro Orange Line Reclaimed Water Project
Bus Total
Mixed Mode
Internet-based Customer Help Desk
Ticket Vending Machine Installations
Mixed Mode Total
Bike
Bicycle Access Improvements - Rail
Bicycle Lockers & Racks for Metro Rail Stations
Union Station Metro Bike Hub
Bike Total
Other
Parking Guidance System (at Metro owned park and ride properties)
TAP Near-Field-Communication Mobile Application Development
Ticket Vending Machine Software Upgrade - Multiple Ticket & Language
Other Total
Total Capital Expansion
Total Operating Capital
Note: Totals may not add due to rounding.
Appendix III
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
478 $
889,542
890,020 $
1,396 $
1,380
2,776 $
1,874
898,814
900,688
3,238 $
27,793
3,498
4,444
38,973 $
$
625
141
97
863 $
3,600
29,367
3,639
5,166
41,772
$
1,335
458
93
186
2,071 $
931,064 $
61 $
2,206
295
120
50
2,732 $
6,371 $
175
8,609
973
240
421
10,418
952,878
178 $
348
682
778
216
108,577
59,246
310
78
170,411 $
244 $
25
3,942
372
611
180
8,969
85
125
14,553 $
465
373
5,838
1,150
2,100
1,000
120,342
60,106
1,164
400
192,938
335 $
1,691
2,026 $
288 $
1,530
1,818 $
1,142
6,736
7,878
562 $
793
1,354 $
1,057 $
557
460
2,074 $
2,243
1,350
1,320
4,913
330
330
1,105,185
2,046,685
$
$
$
162
295
500
957
25,773
437,349
$
$
$
3,025
625
1,750
5,400
1,164,007
4,007,466
New
New
New
New
New
Page 60
Appendix III
Regional Transit Allocations
Appendix III
Page 61
B
Carry-Over
FY14
Budget vs
Actual
D=A+B+C
Interest
FY14 Actual
FY16
Total Funds
Available
2,000,000
2,863,125
3,636,875
8,500,000
$
32,404
(32,404)
$
7,465,000
342,071,177
23,713,823
381,750,000
86,412
3,959,678
274,502
$ 4,320,591
1,763,306
$ 1,763,306
38,175,000
181,331,250
253,863,750
5
6
Proposition A:
9 Administration
5.0000% $
10 Local Return
25.0000%
11 Rail Development
35.0000%
12 Bus Transit:
40.0000%
13
95% of 40% Capped at CPI (1.97%)
14
95% of 40% Over CPI
15
Sub-total
$
5% of 40% Incentive
230,562,663
45,060,837
275,623,500
433,497
n/a
2,882,755
n/a
-
Total
14,506,500
763,500,000
164,729
$ 3,480,981
Proposition C:
18 Administration
19 Rail/Bus Security
20 Commuter Rail
21 Local Return
22 Freeways and Highways
23 Discretionary
24
Total
1.5000% $
5.0000%
10.0000%
20.0000%
25.0000%
40.0000%
$
11,452,500
37,602,375
75,204,750
150,409,500
188,011,875
300,819,000
763,500,000
54,897,548
50,784,842
105,682,390
1.5000% $
35.0000%
3.0000%
2.0000%
20.0000%
5.0000%
20.0000%
15.0000%
$
11,452,500
263,216,625
22,561,425
15,040,950
150,409,500
37,602,375
150,409,500
112,807,125
763,500,000
16
17
131,423
431,505
863,010
n/a
2,157,526
3,452,041
$ 7,035,505
(474,290) $
2,104,583
$ 1,630,293 $
7,551,412
347,794,161
23,988,324
387,833,897
38,608,497
181,331,250
256,746,505
14,671,229
766,980,981
92,867
75,619
168,486
$
$
87,271
2,005,780
171,924
114,616
1,146,160
286,540
1,146,160
n/a
$ 4,958,451
142,859
4,026,597
934,161
264,497
2,065,208
592,372
66,477
$ 8,092,171
FY15
Total Funds
Available
2,000,000
2,895,529
3,604,471
8,500,000
230,562,663
45,060,837
275,623,500
N
O
T
E
11,583,923
38,033,880
76,067,760
150,409,500
190,169,401
304,271,041
770,535,505
1 $
$
3
2,000,000
2,971,904
3,528,096
8,500,000
7,755,078
357,370,473
24,586,480
398,212,031
39,603,392
174,372,500
263,362,556
226,108,329
38,937,871
265,046,200
1 $
15,049,289
757,433,937
2
4
1 $
54,516,125
52,965,044
107,481,169
5 $
11,682,630
269,249,002
23,667,510
15,420,063
153,620,868
38,481,287
151,622,137
112,807,125
776,550,622
3
1 $
11,883,415
39,017,211
78,034,423
144,637,400
195,086,057
312,137,692
780,796,198
44,852,452
48,406,411
93,258,863
11,856,326
272,556,769
24,008,176
15,596,268
155,720,916
38,971,106
155,612,900
108,478,050
782,800,512
37
$ 2,777,932,390
$ 21,425,820
$ 10,023,963
$ 2,809,382,173
$ 2,812,501,541
38
39
69,580,000
652,191
142,859
70,375,050
71,843,133
Notes:
1) Revenue estimate is 3.2% over the revised FY15 revenue estimate based on several economic forecasts evaluated by Metro.
2) CPI of 1.97% represents the average estimated growth rate provided by UCLA and Beacon Economics applied to Prop A discretionary
allocated to included operators.
3) Local Return Subfunds do not show carryover balances. These funds are distributed in the same period received.
4) Proposition A 95% of 40% Bus Transit current year estimate will be used to fund eligible and Tier 2 operators. The carry-over is not
shown since it has been converted into Proposition C 40% discretionary to fund various Board-approved discretionary programs.
5) STA Bus (PUC 99314 Revenue Base Share) estimate from the State Controller's Office is further reduced by $5M to allow fluctuation
with actual revenue.
Appendix III
Page 62