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<br />TABLE 6 JOHN MARTIN RESERVOIR
<br /> AGREEMENT ACCOUNTS OPERATION IAFI
<br /> COMPACT YEAR 1992
<br /> Contents Inflow to Storage Contents
<br />M2!l1h Beain Month ~ Evanoration ~ End Month
<br />Nov. 'S1 5.618.83 0,00 83,57 0,00 5.535,26
<br />Dec. 5,535.26 0,00 65,06 0.00 5.470,20
<br />Jan. '92 5,470.20 0,00 50,14 0,00 5.420,06
<br />Feb. 5,420,06 0.00 82,68 0,00 5.337,38
<br />Mar. 5,337, 38n....:i.~.~:i,~,,9.J.........'n~1.~,,~.L...nnn""!i',9.9. 31.746,81
<br />Winter Subtotal ......:i,~,,~:i~,.9.)_...."...n~n.9.~_n"'nnn'...!?'.9.9.
<br />Apr. 31.746,81 38.090,16 1.556,99 21.671,15 46.60B,B3
<br />May 46.60B.83 352,08 1.690,20 13,442,04 31.828,67
<br />June 31.828,67 2.156,88 1,594,97 629,01 31,761.57
<br />July 31,761.57 2.260,30 1.485,00 15,595,98 16.940,89
<br />Aug. 16,940.89 2,462,27 962,93 4,163,58 14.276.65
<br />Sept. 14,276,65 0,00 1.006,63 1,169,74 12.100,28
<br />Oct, '92 12.100,2B 0,00 566,10 0,00 11.534.1B
<br />Summer Subtotal ::::::1:$:.)~I:~[::::::);:~~~:.:~?=:::::~:$:.:~7.IJ9.
<br />Year Total n 146,70 9 559,85 56671,50
<br /> NOTE5
<br />I' ] Table includes the sum of all Section II and III accounts and City of Lamar
<br />temporary operations with Fry.Ark water using the Ft. Bent Canal.
<br />{21 Transfers between accounts are neither an inflow or a release for Table 6 values.
<br />13] Source: Oper. Sec. 92 Report, Table VI and monthly accounting sheets.
<br />
<br />TABLE 7 JOHN MARTIN RESERVOIR
<br /> SECTION II ACCOUNTS OPERATION IAFI
<br /> COMPACT YEAR 1992
<br /> Contents Inflow to Storage Contents
<br />M2!l1h Beain Month ~ Evaooration ~ End Month
<br />Nov. '91 5.618.83 0,00 83,57 0,00 5.535,26
<br />Oec 5.535.26 0,00 65,06 0,00 5.470,20
<br />Jan. '92 5,470,20 0,00 50,14 0,00 5,420,06
<br />Feb. 5,420,06 0.00 82,68 0,00 5.337,38
<br />Mar. 5,337,38 9,388.75 224,84 0,00 14.501,29
<br />Winter Subtotal :::::::::~:,)~~;:?~=:::::::::)Q~):~=:::::::::::::g:,:9.9.
<br />Apr. 14.501,29 3B.090,16 1,016,81 19,645,46 31.929,18
<br />May 31.929,18 0.00 1,306.38 3,728.74 26.894,06
<br />June 26.894,06 1.362,39 1,342.32 457,01 26,457,12
<br />July 26.457,12 2,260,30 1.201,43 14.351.99 13.164,00
<br />Aug. 13,164,00 2,241,22 841.00 1.260.48 13.303,74
<br />Sept. 13.303.74 0,00 970,79 232,67 12.100,2B
<br />Oct. '92 12,100,28 0,00 566,10 0,00 11.534,18
<br />Summer Subtotal ::::::1:~.:m;:9.L::::::?:;?1H:;[::):~,:m)~
<br />Year Total 53.342,82 7.751.12 39,676,35
<br /> NOTES
<br />(11 Sect. II accounts: Kansas, see Table 9; transit loss. see Table 1 1; District 67
<br />ditches. see Table 12A; City of Lamar. included as part of District 67.
<br />l21lnflows include 9,935.51 AF of water transferred to transit loss account from
<br />Section III accounts, see Tables 8 and 11.
<br />131 Inflows and releases do not include transfers between various Section II accounts.
<br />14J Source: Opel. Sec. 92 Report, Table VI.
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<br />17
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<br />"RC.o.l"l
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