RÉSUMÉ DIGEST ACT 117 (HB 2) 2022 Regular Session Bishop Provides for the capital outlay budget and program for FY 2022-2023; provides for the funding of the capital outlays from the specified sources of monies in the specified amounts as follows: Federal Funds $145,682,478 Federal Funds via Interagency Transfer $83,353,992 Coastal Protection and Restoration Fund $105,702,734 Natural Resources Restoration Trust Fund $866,405,382 Transportation Trust Fund (TTF) - Federal $984,550,550 Transportation Trust Fund (TTF) - Regular $116,606,689 Transportation Trust Fund (TTF) - Construction Subfund $238,300,000 Interagency Transfers $47,871,000 Misc. Statutory Dedications $41,635,000 Fees and Self-Generated Revenues $123,395,000 Re-appropriated Cash $10,794,626 Revenue Bonds $69,890,000 State General Fund (Direct) $50,000,000 State General Fund (Direct) Non- Recurring Revenues $451,684,281 Capital Outlay Savings Fund $74,724,000 Louisiana Rescue Plan Fund $334,336,887 TOTAL CASH PORTION $3,774,932,619 Authorizes the funding of certain capital outlay projects from the sale of general obligation bonds for the projects delineated as follows: Priority 1 $1,109,247,513 Priority 2 $111,714,000 Priority 5 $3,862,951,487 TOTAL GENERAL OBLIGATIONS BONDS $5,083,913,000 GRAND TOTAL ALL MEANS OF FINANCING $8,828,845,619