AB100-engrossed,309,1817 (g) Gifts and grants. All moneys received from gifts, grants and bequests to
18carry out the purposes for which made or received.
AB100-engrossed,309,2419 (h) Principal, interest and rebates; program revenue school districts. All
20moneys received under s. 44.72 (4) (c) to reimburse s. 20.866 (1) (u) for the payment
21of principal and interest costs incurred in financing subsidized educational
22technology infrastructure loans to school districts under s. 44.72 (4) and to make full
23payment of the amounts determined by the building commission under s. 13.488 (1)
24(m).
AB100-engrossed,310,6
1(hb) Principal, interest and rebates; program revenue — public library boards.
2All moneys received under s. 44.72 (4) (c) to reimburse s. 20.866 (1) (u) for the
3payment of principal and interest costs incurred in financing subsidized
4educational technology infrastructure loans to public library boards under s. 44.72
5(4) and to make full payment of the amounts determined by the building
6commission under s. 13.488 (1) (m).
AB100-engrossed,310,107 (L) Equipment purchases and leases. All moneys received from school districts,
8cooperative educational service agencies and public educational institutions for the
9purchase or lease of educational technology equipment under s. 44.71 (2) (h), for the
10purpose of purchasing such equipment.
AB100-engrossed,310,1311 (m) Federal aid. All federal moneys received as authorized under s. 16.54 to
12be administered and expended in accordance with the provisions of the federal grant
13or program under which the moneys were received.
AB100-engrossed,310,1914 (s) Educational telecommunications access support; school districts and
15technical college districts.
Biennially, from the universal service fund, the amounts
16in the schedule to make payments to telecommunications providers under contracts
17with the department of administration under s. 16.974 (7) (a) to the extent that the
18amounts due are not paid from the appropriation under s. 20.505 (1) (is) and, prior
19to July 1, 2002, to make grants to school districts under s. 196.218 (4r) (g).
AB100-engrossed,310,2420 (t) Educational telecommunications access support; private colleges and public
21library boards.
Biennially, from the universal service fund, the amounts in the
22schedule to make payments to telecommunications providers under contracts with
23the department of administration under s. 16.974 (7) (b) to the extent that the
24amounts due are not paid from the appropriation under s. 20.505 (1) (is).
AB100-engrossed,311,5
1(tm) Educational telecommunications access support; private schools.
2Biennially, from the universal service fund, the amounts in the schedule to make
3payments to telecommunications providers under contracts with the department of
4administration under s. 16.974 (7) (c) to the extent that the amounts due are not paid
5from the appropriation under s. 20.505 (1) (is).
AB100-engrossed,311,86 (u) Educational technology aid. From the common school fund income, the
7amounts in the schedule to make payments to school districts under s. 44.72 (2) (a).
8No moneys may be encumbered from this appropriation after June 30, 1999.
AB100-engrossed, s. 271 9Section 271. 20.285 (1) (c) of the statutes is amended to read:
AB100-engrossed,311,1610 20.285 (1) (c) Energy costs. The amounts in the schedule to pay for utilities and
11for fuel, heat and air conditioning, and to pay costs incurred under s. ss. 16.858 and
1216.895, including all operating costs recommended by the department of
13administration that result from the installation of pollution abatement equipment
14in state-owned or operated heating, cooling or power plants, by or on behalf of the
15board of regents, and to repay to the energy efficiency fund loans made to the board
16under s. 16.847 (6).
AB100-engrossed, s. 272 17Section 272. 20.285 (1) (cm) of the statutes is created to read:
AB100-engrossed,311,1918 20.285 (1) (cm) Educational technology. The amounts in the schedule for
19educational technology projects under s. 36.25 (38).
AB100-engrossed, s. 272m 20Section 272m. 20.285 (1) (db) of the statutes is amended to read:
AB100-engrossed,312,1121 20.285 (1) (db) Self-amortizing facilities principal and interest. A sum
22sufficient to reimburse s. 20.866 (1) (u) for any amounts advanced to meet principal
23and interest costs on self-amortizing university facilities whenever the combined
24balances of all accounts of activities, of any campus, included in par. (h) and sub. (6)
25(g) are insufficient, as determined by the department of administration, to make

1transfers to pars. (kd) and (ke) as required by par. (h) and sub. (6) (g). Amounts
2advanced under the authority of this paragraph shall be repaid to the general fund
3in instalments to be determined jointly by the department of administration and the
4campus concerned. Annually, For projects authorized by the building commission
5before July 1, 1998, annually
an amount equal to 80% of the principal and interest
6costs for maintenance of university of Wisconsin-Madison intercollegiate athletic
7facilities shall be paid from the appropriation under this paragraph. For projects
8authorized by the building commission on or after July 1, 1998, annually an amount
9equal to 70% of the principal and interest costs for maintenance of University of
10Wisconsin-Madison intercollegiate athletic facilities shall be paid from the
11appropriation under this paragraph.
AB100-engrossed, s. 273 12Section 273. 20.285 (1) (h) of the statutes is amended to read:
AB100-engrossed,313,613 20.285 (1) (h) Auxiliary enterprises. Except as provided under par. (gm) and
14subs. (5) (i) and (6) (g), all moneys received by the university of Wisconsin system for
15or on account of any housing facility, commons, dining halls, cafeteria, student union,
16athletic activities, stationery stand or bookstore, parking facilities or car fleet, or
17such other auxiliary enterprise activities as the board designates and including such
18fee revenues as allocated by the board and including such moneys received under
19leases entered into previously with nonprofit building corporations as the board
20designates to be receipts under this paragraph, to be used for the operation,
21maintenance and capital expenditures of activities specified in this paragraph,
22including the transfer of funds to pars. (kd) and (ke) and to nonprofit building
23corporations to be used by the corporations for the retirement of existing
24indebtedness and such other payments as may be required under existing loan
25agreements, and for optional rental payments in addition to the mandatory rental

1payments under the leases and subleases in connection with the providing of
2facilities for such activities. A separate account shall be maintained for each campus,
3the center system and extension. Subject to s. 36.46 (2) (b), upon the request of the
4extension or any institution or center within the system, the board of regents may
5transfer surplus moneys appropriated under this paragraph to the appropriation
6account under par. (kp).
AB100-engrossed, s. 274 7Section 274. 20.285 (1) (hm) of the statutes is amended to read:
AB100-engrossed,313,98 20.285 (1) (hm) Extension outreach. All moneys collected under s. 94.64 (4) (ar)
9(a) 3. to be used for university of Wisconsin-extension outreach services.
AB100-engrossed, s. 275 10Section 275. 20.285 (1) (im) of the statutes is amended to read:
AB100-engrossed,313,1511 20.285 (1) (im) Academic student fees. Except as provided in sub. (2) (i) 1., the
12amounts in the schedule for degree credit instruction, other than for credit outreach
13instruction sponsored by the University of Wisconsin-Extension
. Except as provided
14under pars. (ip), (Lm) and (Ls), all moneys received from academic student fees shall
15be credited to this appropriation.
AB100-engrossed, s. 276 16Section 276. 20.285 (1) (ip) of the statutes is created to read:
AB100-engrossed,313,2017 20.285 (1) (ip) Extension student fees. Except as provided under pars. (Lm) and
18(Ls), all moneys received from academic student fees at the University of
19Wisconsin-Extension, for credit outreach instruction sponsored by the University of
20Wisconsin-Extension.
AB100-engrossed, s. 276m 21Section 276m. 20.285 (1) (kd) of the statutes is amended to read:
AB100-engrossed,314,1122 20.285 (1) (kd) Principal repayment, interest and rebates. From the revenues
23credited under par. (h) and sub. (6) (g), a sum sufficient to reimburse s. 20.866 (1) (u)
24for the payment of principal and interest costs incurred in financing the acquisition,
25construction, development, enlargement or improvement of self-amortizing

1university facilities and to make the payments determined by the building
2commission under s. 13.488 (1) (m) that are attributable to the proceeds of
3obligations incurred in financing such facilities. Annually, For projects authorized
4by the building commission before July 1, 1998, annually
an amount equal to 20%
5of the principal and interest costs for maintenance of university of
6Wisconsin-Madison intercollegiate athletic facilities shall be paid from the
7appropriation under this paragraph. For projects authorized by the building
8commission on or after July 1, 1998, annually an amount equal to 30% of the
9principal and interest costs for maintenance of University of Wisconsin-Madison
10intercollegiate athletic facilities shall be paid from the appropriation under this
11paragraph.
AB100-engrossed, s. 277 12Section 277. 20.285 (1) (kp) of the statutes is created to read:
AB100-engrossed,314,1513 20.285 (1) (kp) Student - related activities. All moneys transferred from par.
14(h) for the one-time, fixed-duration costs of any student-related activity, as those
15terms are defined by the board under s. 36.46 (2) (a) 1.
AB100-engrossed, s. 277g 16Section 277g. 20.285 (1) (q) of the statutes is created to read:
AB100-engrossed,314,1917 20.285 (1) (q) Telecommunications services. From the universal service fund,
18the amounts in the schedule to provide telecommunications services as specified in
19s. 196.218 (5) (a) 6.
AB100-engrossed, s. 277m 20Section 277m. 20.285 (1) (rc) of the statutes is created to read:
AB100-engrossed,314,2321 20.285 (1) (rc) Environmental education; forestry. From the conservation fund,
22the amounts in the schedule for environmental education grants related to forestry
23under s. 36.54 (2).
AB100-engrossed, s. 277n 24Section 277n. 20.285 (1) (tm) of the statutes is created to read:
AB100-engrossed,315,3
120.285 (1) (tm) Solid waste research and experiments. From the recycling fund,
2the amounts in the schedule for research into alternative methods of solid waste
3management and for administering solid waste experiment centers.
AB100-engrossed, s. 277r 4Section 277r. 20.285 (1) (x) of the statutes is renumbered 20.285 (1) (cg) and
5amended to read:
AB100-engrossed,315,86 20.285 (1) (cg) Driver education teachers. All moneys received from the
7transportation fund
As a continuing appropriation, the amounts in the schedule for
8the purpose of providing driver education teacher training.
AB100-engrossed, s. 278 9Section 278. 20.285 (2) (a) 1. of the statutes is amended to read:
AB100-engrossed,315,1510 20.285 (2) (a) 1. Any moneys in program revenue appropriations to the board
11of regents for operation may be temporarily transferred to or from any other program
12revenue appropriation, but any moneys so transferred shall be repaid to the
13appropriation from which taken before the close of the fiscal year in which the
14transfer was made. This subdivision does not apply to moneys transferred from the
15appropriation account under par. (h) to the appropriation account under par. (kp).
AB100-engrossed, s. 278g 16Section 278g. 20.285 (2) (d) of the statutes is amended to read:
AB100-engrossed,316,317 20.285 (2) (d) Fee and tuition remissions. The aggregate amount of nonresident
18remissions of tuition and fees for any fiscal year for the institutions formerly
19governed under ch. 36, 1971 stats., may not exceed the aggregate amount so remitted
20for those institutions in the 1970-71 fiscal year as adjusted for proportional
21increases in tuition charges since 1976-77, and for the institutions formerly
22governed under ch. 37, 1971 stats., the aggregate amount shall not exceed the
23aggregate amount so remitted for those institutions in the 1972-73 fiscal year as
24adjusted for proportional increases in tuition charges since 1976-77. The limits
25under this paragraph do not apply to fee remissions granted under s. 36.27 (3) (g).


1This paragraph does not restrict the granting of remissions when required under the
2terms of a contract or gift, or when such remissions are reimbursed as an indirect
3cost.
AB100-engrossed, s. 279 4Section 279. 20.285 (2) (i) 1. of the statutes is renumbered 20.285 (2) (i) 1.
5(intro.) and amended to read:
AB100-engrossed,316,96 20.285 (2) (i) 1. (intro.) Notwithstanding s. 20.001 (3) (a), the amount of the
7appropriation under sub. (1) (im) for the 1987-88 fiscal year and any fiscal year
8thereafter
consists of the amount in the schedule, together with an all of the
9following:
AB100-engrossed,316,15 10a. For the 1997-98 fiscal year and any fiscal year thereafter, an amount equal
11to not more than the amount by which the expenditure estimate under s. 16.50 (1)
12for that the appropriation under sub. (1) (im) exceeded actual expenditures from that
13appropriation for the previous fiscal year, to the extent that sufficient revenues are
14available in the appropriation account under sub. (1) (im) to finance this
15appropriation.
AB100-engrossed, s. 280 16Section 280. 20.285 (2) (i) 1. b. of the statutes is created to read:
AB100-engrossed,316,2117 20.285 (2) (i) 1. b. For the first fiscal year of a fiscal biennium, an amount equal
18to 4% of the amount in the schedule for the appropriation under sub. (1) (im), to the
19extent that sufficient revenues are available in the appropriation account under sub.
20(1) (im) to finance this appropriation. This subdivision 1. b. does not apply after June
2130, 1998.
AB100-engrossed, s. 281 22Section 281. 20.285 (2) (i) 1. c. of the statutes is created to read:
AB100-engrossed,317,223 20.285 (2) (i) 1. c. For the 2nd fiscal year of a fiscal biennium, an amount equal
24to 8% of the amount in the schedule for the appropriation under sub. (1) (im), to the
25extent that sufficient revenues are available in the appropriation account under sub.

1(1) (im) to finance this appropriation. This subdivision 1. c. does not apply after June
230, 1999.
AB100-engrossed, s. 283 3Section 283. 20.292 (1) (eg) of the statutes is created to read:
AB100-engrossed,317,54 20.292 (1) (eg) Faculty development grants. The amounts in the schedule for
5faculty development grants under s. 38.33.
AB100-engrossed, s. 284g 6Section 284g. 20.292 (1) (r) of the statutes is renumbered 20.292 (1) (fp) and
7amended to read:
AB100-engrossed,317,118 20.292 (1) (fp) Emergency medical technician — basic training; state
9operations.
From the transportation fund, the The amounts in the schedule for
10technical assistance and administrative support for emergency medical technician
11— basic training under s. 146.55 (5).
AB100-engrossed, s. 284m 12Section 284m. 20.292 (1) (u) of the statutes is renumbered 20.292 (1) (fc) and
13amended to read:
AB100-engrossed,317,1614 20.292 (1) (fc) Driver education, local assistance. From the transportation
15fund, the
The amounts in the schedule, to be distributed to technical college districts
16for operating driver training programs under ss. 38.28 (2) (c) and (g) and 121.41 (1).
AB100-engrossed, s. 284r 17Section 284r. 20.292 (1) (v) of the statutes is renumbered 20.292 (1) (fg) and
18amended to read:
AB100-engrossed,317,2119 20.292 (1) (fg) Chauffeur training grants. From the transportation fund, as As
20a continuing appropriation, the amounts in the schedule for advanced chauffeur
21training grants under s. 38.29.
AB100-engrossed, s. 285 22Section 285. 20.315 (1) (a) of the statutes is repealed.
AB100-engrossed, s. 286 23Section 286. 20.315 (1) (q) of the statutes is amended to read:
AB100-engrossed,318,324 20.315 (1) (q) General program operations — conservation fund. From the
25conservation fund, the amounts in the schedule for general program operations,

1including the cost of the actual and necessary expenses incurred by the members of
2the commission and members of the advisory committees in the performance of their
3duties under s. 14.82 (1)
.
AB100-engrossed, s. 287 4Section 287. 20.320 (intro.) of the statutes is amended to read:
AB100-engrossed,318,7 520.320 (title) Clean water fund Environmental improvement program.
6(intro.) There is appropriated for the clean water fund environmental improvement
7program:
AB100-engrossed, s. 288 8Section 288. 20.320 (1) (title) of the statutes is amended to read:
AB100-engrossed,318,99 20.320 (1) (title) Clean water fund program operations.
AB100-engrossed, s. 289 10Section 289. 20.320 (1) (a) of the statutes is amended to read:
AB100-engrossed,318,1311 20.320 (1) (a) (title) Environmental aids — clean water fund program. The
12amounts in the schedule to be paid into the environmental improvement fund for the
13clean water fund program under s. 281.58.
AB100-engrossed, s. 290 14Section 290. 20.320 (1) (c) of the statutes is amended to read:
AB100-engrossed,318,1915 20.320 (1) (c) (title) Principal repayment and interest — clean water fund
16program. A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of principal
17and interest costs incurred in transferring moneys from s. 20.866 (2) (tc) to the clean
18water
environmental improvement fund for the purposes specified in s. 25.43 (3) of
19the clean water fund program under s. 281.58
.
AB100-engrossed, s. 291 20Section 291. 20.320 (1) (q) of the statutes is amended to read:
AB100-engrossed,319,421 20.320 (1) (q) (title) Clean water fund program revenue obligation funding. As
22a continuing appropriation, all proceeds from revenue obligations issued under
23subch. II or IV of ch. 18, as authorized under s. 281.59 (4) and deposited in the fund
24in the state treasury created under s. 18.57 (1), providing for reserves and for
25expenses of issuance and management of the revenue obligations, and the remainder

1to be transferred to the clean water environmental improvement fund for the
2purposes specified in s. 25.43 (3) of the clean water fund program under s. 281.58.
3Estimated disbursements under this paragraph shall not be included in the schedule
4under s. 20.005.
AB100-engrossed, s. 292 5Section 292. 20.320 (1) (r) of the statutes is amended to read:
AB100-engrossed,319,106 20.320 (1) (r) (title) Clean water fund program repayment of revenue
7obligations.
From the clean water environmental improvement fund, a sum
8sufficient to repay the fund in the state treasury created under s. 18.57 (1) the
9amount needed to retire revenue obligations issued under subch. II or IV of ch. 18,
10as authorized under s. 281.59 (4).
AB100-engrossed, s. 293 11Section 293. 20.320 (1) (s) of the statutes is amended to read:
AB100-engrossed,319,1712 20.320 (1) (s) (title) Clean water fund program financial assistance. From the
13clean water environmental improvement fund, a sum sufficient for the purposes of
14ss. 25.43, providing clean water fund program financial assistance under s. 281.58
15and 281.59, other than general program operations specified under s. 20.370 (2) (mt)
16or (mx) or 20.505 (1) (v) or (x) and other than administration of ss. 25.43, 281.58 and
17281.59
.
AB100-engrossed, s. 294 18Section 294. 20.320 (1) (sm) of the statutes is created to read:
AB100-engrossed,319,2219 20.320 (1) (sm) Land recycling loan program financial assistance. From the
20clean water fund program federal revolving loan fund account in the environmental
21improvement fund, a sum sufficient, not to exceed a total of $20,000,000, to provide
22land recycling loan program financial assistance under s. 281.60.
AB100-engrossed, s. 295 23Section 295. 20.320 (1) (t) of the statutes is amended to read:
AB100-engrossed,320,724 20.320 (1) (t) (title) Principal repayment and interest — clean water fund
25program bonds. From the clean water environmental improvement fund, the

1amounts in the schedule to reimburse s. 20.866 (1) (u) for the payment of principal
2and interest costs incurred in transferring moneys from s. 20.866 (2) (tc) to the clean
3water
environmental improvement fund for the purposes specified in s. 25.43 (3) of
4the clean water fund program under s. 281.58
. Fifty percent of all moneys received
5from municipalities as payment of interest on loans or portions of loans under ss.
6144.241 and 144.2415
s. 281.58 the revenues of which have not been pledged to
7secure revenue obligations shall be credited to this appropriation account.
AB100-engrossed, s. 296 8Section 296. 20.320 (1) (u) of the statutes is amended to read:
AB100-engrossed,320,189 20.320 (1) (u) (title) Principal repayment and interest — clean water fund
10program revenue obligation repayment. From the fund in the state treasury created
11under s. 18.57 (1), all moneys received by the fund and not transferred under s.
12281.59 (4) (c) to the clean water environmental improvement fund, for the purpose
13of the retirement of revenue obligations, providing for reserves and for operations
14relating to the management and retirement of revenue obligations issued under
15subch. II or IV of ch. 18, as authorized under s. 281.59 (4). All moneys received are
16irrevocably appropriated in accordance with subch. II of ch. 18 and further
17established in resolutions authorizing the issuance of the revenue obligations and
18setting forth the distribution of funds to be received thereafter.
AB100-engrossed, s. 297 19Section 297. 20.320 (1) (x) of the statutes is created to read:
AB100-engrossed,320,2520 20.320 (1) (x) Clean water fund program financial assistance; federal. From
21the clean water fund program federal revolving loan fund account in the
22environmental improvement fund, all moneys received from the federal government
23to provide financial assistance under the clean water fund program under s. 281.58,
24as authorized by the governor under s. 16.54, for financial assistance under the clean
25water fund program under s. 281.58.
AB100-engrossed, s. 298
1Section 298. 20.320 (2) of the statutes is created to read:
AB100-engrossed,321,52 20.320 (2) Safe drinking water loan program operations. (c) Principal
3repayment and interest — safe drinking water loan program.
A sum sufficient to
4reimburse s. 20.866 (1) (u) for the payment of principal and interest costs incurred
5in financing the safe drinking water loan program under s. 20.866 (2) (td).
AB100-engrossed,321,106 (s) Safe drinking water loan programs financial assistance. From the
7environmental improvement fund, a sum sufficient for financial assistance under
8the safe drinking water loan program under s. 281.61, for other drinking water
9quality activities under s. 281.62 and to transfer funds to the Wisconsin drinking
10water reserve fund under s. 234.933, as authorized under s. 281.625 (4).
AB100-engrossed,321,2011 (x) Safe drinking water loan programs financial assistance; federal. From the
12safe drinking water loan program federal revolving loan fund account in the
13environmental improvement fund, all moneys received from the federal government
14to provide financial assistance under the safe drinking water loan program under s.
15281.61, for other drinking water quality activities under s. 281.62 and for drinking
16water loan guarantees under s. 234.86, as authorized by the governor under s. 16.54,
17for financial assistance under the safe drinking water loan program under s. 281.61,
18other drinking water quality activities under s. 281.62 and to transfer funds to the
19Wisconsin drinking water reserve fund under s. 234.933, as authorized under s.
20281.625 (4).
AB100-engrossed, s. 299 21Section 299. 20.360 (1) (a) of the statutes is repealed.
AB100-engrossed, s. 300 22Section 300. 20.370 (1) (title) of the statutes is repealed and recreated to read:
AB100-engrossed,321,2323 20.370 (1) (title) Land.
AB100-engrossed, s. 301 24Section 301. 20.370 (1) (fs) of the statutes is amended to read:
AB100-engrossed,322,10
120.370 (1) (fs) Endangered resources — voluntary payments; sales, leases and
2fees.
As a continuing appropriation, from moneys received as amounts designated
3under s. 71.10 (5) (b), the net amounts certified under s. 71.10 (5) (h) 4., all moneys
4received from the sale or lease of resources derived from the land in the state natural
5areas system
and all moneys received from fees collected under ss. 23.27 (3) (b),
629.092 (11) (g) and (h) and 341.14 (6r) (b) 5., for the purposes of the endangered
7resources program, as defined under s. 71.10 (5) (a) 2. Three-percent of the moneys
8certified under s. 71.10 (5) (h) 4. in each fiscal year, but not to exceed $100,000, shall
9be allocated for wildlife damage control and payment of claims for damage associated
10with endangered or threatened species.
AB100-engrossed, s. 302 11Section 302. 20.370 (1) (gg) of the statutes is renumbered 20.370 (7) (gg).
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