Nebraska Department of Roads | |
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Estimate Summary to Contractor | |
Vendor ID: | 3626 REALM CONSTRUCTION, INC. |
Contract ID: | 2999X |
Estimate Number: | 0009 |
Pay Period End Date: | 09.21.2002 |
Contract Location: | ||
IN OMAHA | Estimate Type: | PROG |
Contractor: | ||
REALM CONSTRUCTION, INC. | Date Let: | 12.06.2001 |
604 S INDUSTRIAL DR | Date Awarded: | 12.18.2001 |
PO BOX 1236 | Date Contract Executed: | 01.11.2002 |
Date Notice to Proceed: | 01.11.2002 | |
BLUE SPRINGS MO 64013 | Date Work Began: | |
Phone: | Date Physical Work Completed: | |
(816)229-6620 | Date Accepted: | 09.18.2002 |
Escrow Agent: | ||
Surety Co: | ||
NATIONAL SURETY CORPORATION |
Counties |
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DOUGLAS |
Project Number |   | PCT |   | Fed State Project Number |   | Description | |
---|---|---|---|---|---|---|---|
21999 000 |   | 0.000 |   | RD-80-9(1117) |   | BITUMINOUS |
Total to Date | Prev to Date | This Estimate | ||
Current Contract Amt | Total Earnings | $589,046.00 | $560,407.10 | $28,638.90 |
$414,625.34 | Stockpiled Materials | $.00 | $.00 | $.00 |
Original Contract Amt | Gross Earnings | $589,046.00 | $560,407.10 | $28,638.90 |
$414,211.34 | Retainage | $-5,890.46 | $-5,604.07 | $-286.39 |
Escrow Amount | $.00 | $.00 | $.00 | |
Percent Complete | Securities Encumbered | $.00 | $.00 | $.00 |
142.07% | Net Earnings | $583,155.54 | $554,803.03 | $28,352.51 |
Liquidated Damages | -$4,068.00 | -$2,712.00 | -$1,356.00 | |
Incentives | $.00 | $.00 | $.00 | |
Disincentives | $.00 | $.00 | $.00 | |
Other Contract Adj | $.00 | $.00 | $.00 | |
Appl of Training Adj | $.00 | $.00 | $.00 | |
Training Rates Adj | $.00 | $.00 | $.00 | |
Fuel Adj | $.00 | $.00 | $.00 | |
Bituminous Adj | $.00 | $.00 | $.00 | |
Autopay Adj | $.00 | $.00 | $.00 | |
Gasoline Adj | $.00 | $.00 | $.00 | |
Other Adj | $.00 | $.00 | $.00 | |
Price Adj | $.00 | $.00 | $.00 | |
Substandard Item Adj | $.00 | $.00 | $.00 | |
Asphalt Adj | $.00 | $.00 | $.00 | |
Diesel Fuel Adj | $.00 | $.00 | $.00 | |
Petrol Adj | $.00 | $.00 | $.00 | |
Total for Adjustments | -$4,068.00 | -$2,712.00 | -$1,356.00 | |
Payment | $579,087.54 | $552,091.03 | $26,996.51 | |
Project Manager | Div. Head/Dist. Eng. | |||
Khalaf, Zahi | 10.04.2002 | Lech, Marvin (Marv) | 10.09.2002 | |
Constr. Estimate Eng. | Materials Eng. | |||
Henrichson, Roger | 10.09.2002 | |||
Controller Div. Processed | ||||
Burling, Laurie | 10.09.2002 |
Detailed breakdown of stockpiled materials | ||||
---|---|---|---|---|
Total remaining for contract: | 0.00 |
1. Contracted | |||
---|---|---|---|
2. Current | |||
3. To date | |||
Item Nbr Item Code | Unit Price | 4. This Est | |
Item Description | Units | Qty | Amount |
GROUP 9 BITUMINOUS | |||
0001 A801.00 | 10.00 | 600.000 | 6,000.00 |
CONSTRUCTION LIGHTING | HOUR | 600.000 | 6,000.00 |
541.500 | 5,415.00 | ||
10.500 | 105.00 | ||
0002 0001.08 | 0.50 | 3,575.000 | 1,787.50 |
BARRICADE, TYPE II | BDAY | 3,575.000 | 1,787.50 |
13,750.000 | 6,875.00 | ||
343.000 | 171.50 | ||
0003 0001.10 | 4.00 | 1,303.000 | 5,212.00 |
BARRICADE, TYPE III | BDAY | 1,303.000 | 5,212.00 |
678.000 | 2,712.00 | ||
16.000 | 64.00 | ||
0004 0001.30 | 3.00 | 1,248.000 | 3,744.00 |
TYPE B HIGH INTENSITY WARNING LIGHT | LDAY | 1,248.000 | 3,744.00 |
431.000 | 1,293.00 | ||
0.000 | 0.00 | ||
0005 0001.75 | 6.00 | 880.000 | 5,280.00 |
TEMPORARY SIGN DAY | EACH | 880.000 | 5,280.00 |
2,327.000 | 13,962.00 | ||
59.000 | 354.00 | ||
0006 0001.90 | 0.50 | 5,408.000 | 2,704.00 |
SIGN DAY | EACH | 5,408.000 | 2,704.00 |
0.000 | 0.00 | ||
0.000 | 0.00 | ||
0007 0002.61 | 50.00 | 20.000 | 1,000.00 |
PLOWABLE PAVEMENT MARKER | EACH | 20.000 | 1,000.00 |
28.000 | 1,400.00 | ||
0.000 | 0.00 | ||
0008 0002.63 | 8.80 | 2,300.000 | 20,240.00 |
PLOWABLE PAVEMENT MARKER REFLECTOR | EACH | 2,300.000 | 20,240.00 |
2,492.000 | 21,929.60 | ||
98.000 | 862.40 | ||
0009 0002.97 | 300.00 | 55.000 | 16,500.00 |
FLASHING ARROW PANEL | DAY | 55.000 | 16,500.00 |
202.500 | 60,750.00 | ||
1.000 | 300.00 | ||
0010 0030.90 | 45,777.00 | 1.000 | 45,777.00 |
MOBILIZATION | LS | 1.000 | 45,777.00 |
1.000 | 45,777.00 | ||
0.000 | 0.00 | ||
0011 3211.25 | 20.00 | 143.000 | 2,860.00 |
SEALING CRACKS | LF | 143.000 | 2,860.00 |
5,752.000 | 115,040.00 | ||
373.000 | 7,460.00 | ||
0012 3211.30 | 0.58 | 522,598.000 | 303,106.84 |
SEALING JOINTS | LF | 522,598.000 | 303,106.84 |
540,480.000 | 313,478.40 | ||
32,600.000 | 18,908.00 | ||
4001 3900.27 | 18.00 | 0.000 | 0.00 |
ADDITIONAL COST | EACH | 23.000 | 414.00 |
FILL VOIDS WITH EPOXY | 23.000 | 414.00 | |
23.000 | 414.00 | ||
GROUP 9 BITUMINOUS | Contracted | 414,211.34 | |
Current | 414,625.34 | ||
In place | 589,046.00 | ||
This Estimate | 28,638.90 | ||
Totals for contract | Contracted | 414,211.34 | |
Current | 414,625.34 | ||
In place | 589,046.00 | ||
This Estimate | 28,638.90 |