DPWH
DPWH
For general administration and support, support to operations, and operations including locally-funded and foreign-assisted
projects, as indicated hereunder.....................................................................................................P 109,833,405,000
----------------
New Appropriations, by Program/Project
======================================
Current_Operating_Expenditures
Maintenance
and Other
Personal Operating Capital
Services Expenses Outlays Total
A. PROGRAMS
I. Locally-Funded Project(s)
2. Lucena-Tayabas-Lucban-Sampaloc-
Mauban Port Road 6,959,000 6,959,000
---------------- ----------------
a. K0143+000-K0143+450 3,022,000 3,022,000
b. K0145+169-K0145+323 943,000 943,000
c. K0154+000-K0154+490 2,994,000 2,994,000
2. Dipolog-Punta-Dansullan-
Sergio Osmena Road 64,419,000 64,419,000
---------------- ----------------
a. K1846+000-K1848+716 64,419,000 64,419,000
2. Oroquieta City-Plaridel-
Calamba-Sapang Dalaga Road 63,148,000 63,148,000
---------------- ----------------
a. K1745+000-K1746+000 63,148,000 63,148,000
2. Camiling-Wawa-Bayambang-
Malasiqui-Sta Barbara 23,387,000 23,387,000
---------------- ----------------
a. K0182+000-K0183+000 9,658,000 9,658,000
b. K0191+137-K0192+520 13,729,000 13,729,000
b. Rehabilitation/Reconstruction/
Upgrading of Damaged Paved National
Roads (Intermittent Sections) 13,032,909,000 13,032,909,000
---------------- ----------------
1. National Arterial Road 9,531,799,000 9,531,799,000
---------------- ----------------
a. National Capital Region 35,777,000 35,777,000
---------------- ----------------
1. Metro Manila 2nd Sub DEO 22,288,000 22,288,000
---------------- ----------------
a. Muntinlupa City (Lone District) 22,288,000 22,288,000
---------------- ----------------
1. Daang Maharlika (LZ) 22,288,000 22,288,000
---------------- ----------------
a. Chainage 0000-
Chainage 0142 (S03286LZ) 4,014,000 4,014,000
b. K0026+(-988)-K0026+(-434) 18,274,000 18,274,000
4. Toledo-Pinamungahan-Aloguinsan-
Mantalongon Road 76,427,000 76,427,000
---------------- ----------------
a. K0079+621-K0084+460 76,427,000 76,427,000
2. Lucena-Tayabas-
Mauban Port Road-Jct. Lucena City 45,000,000 45,000,000
---------------- ----------------
a. K0128+282-K0132+070
(With Exception) 45,000,000 45,000,000
c. Jct Victoria-Maddela-
Alicia-Kasibu Bdry. Road 90,897,000 90,897,000
---------------- ----------------
1. K0368+(-448)-K0368+099 9,846,000 9,846,000
2. K0368+538-K0369+032 25,092,000 25,092,000
3. K0370+239-K0373+350 55,959,000 55,959,000
b. Baler-Casiguran Road
(Dinadiawan-Casiguran Section) 110,118,000 110,118,000
---------------- ----------------
1. K295+(-438)-K0296+000 24,678,000 24,678,000
2. K0298+000-K0298+700 12,600,000 12,600,000
3. K0302+074-K0304+189 38,455,000 38,455,000
4. K0309+085-K0311+270 34,385,000 34,385,000
b. Jct. SH-Aglayan-Alanib-
Ticalaan Road (Aglayan Basak) 40,227,000 40,227,000
---------------- ----------------
1. K1520+048-K1520+479 12,167,000 12,167,000
2. K1542+400-K1544+000 28,060,000 28,060,000
b. Jct. SH Aglayan-Alanib-
Ticalaan Road (Ticalaan-Paganan) 26,305,000 26,305,000
---------------- ----------------
1. K1509+640-K1511+851 26,305,000 26,305,000
c. Jct. SH-Aglayan-Alanib-
Ticalaan (Tanculan-Kalapat) 60,896,000 60,896,000
---------------- ----------------
1. K1572+597-K1574+060 35,650,000 35,650,000
2. K1578+-176-K1578+922 25,246,000 25,246,000
c. Lanao del Norte 2nd DEO 426,281,000 426,281,000
---------------- ----------------
1. Iligan City (Lone District) 426,281,000 426,281,000
---------------- ----------------
a. Sta. Felomina-
Bonbonon-Digkilaan-Rogongon Road 426,281,000 426,281,000
---------------- ----------------
1. K1544+941-K1555+600 245,180,000 245,180,000
2. K1559+000-K1561+000 46,000,000 46,000,000
3. K1564+000-K1565+800 41,400,000 41,400,000
4. K1568+000-K1570+000 46,000,000 46,000,000
5. K1575+100-K1577+170 47,701,000 47,701,000
b. Sarangani-Sultan
Kudarat Coastal Road 160,057,000 160,057,000
---------------- ----------------
1. K1770+129-K1772+000 47,380,000 47,380,000
2. K1775+607-K1780+508 112,677,000 112,677,000
c. Kabugao-Pudtol-
Luna-Cagayan Bdry Road 58,827,000 58,827,000
---------------- ----------------
1. K0661+000-K661+321 8,827,000 8,827,000
2. K0643+646-K0645+825 50,000,000 50,000,000
b. Banaue-Mayoyao-
A. Lista-Isabela Bdry. Road 58,064,000 58,064,000
---------------- ----------------
1. K0349+909-K0350+511 13,082,000 13,082,000
2. K0361+464-K0362+203 18,131,000 18,131,000
3. K0378+742-K0379+373 13,311,000 13,311,000
4. K0392+675-K0393+375 13,540,000 13,540,000
e. San Vicente-Savidug-
Chavayan-Sumnanga-Nakanmuan Road 92,144,000 92,144,000
---------------- ----------------
1. K0003+317-K0004+530 28,313,000 28,313,000
2. K0004+915-K0005+036 2,783,000 2,783,000
3. K0005+248-K0005+314 1,518,000 1,518,000
4. K0005+371-K0005+461 2,070,000 2,070,000
5. K0006+364-K0006+533 3,887,000 3,887,000
6. K0006+595-K0007+091 11,414,000 11,414,000
7. K0017+808-K0018+339 12,213,000 12,213,000
8. K0018+554-K0018+815 6,003,000 6,003,000
9. K0018+841-K0018+863 506,000 506,000
10. K0018+876-K0018+940 1,472,000 1,472,000
11. K0018+990-K0019+119 2,967,000 2,967,000
12. K0019+275-K0019+867 13,616,000 13,616,000
13. K0021+826-K0022+060 5,382,000 5,382,000
b. Baler-Casiguran Road
(Baler-Dinadiawan) 10,100,000 10,100,000
---------------- ----------------
1. K0259+328-K0259+768 10,100,000 10,100,000
b. Sto. Tomas-Minalin-Macabebe
(Minalen-Macabebe Section) 64,883,000 64,883,000
---------------- ----------------
1. K0067+099-K0068+766 38,350,000 38,350,000
2. K0068+766-K0069+000 25,774,000 25,774,000
3. K0070+470-K0070+503 759,000 759,000
b. Tigwi-Dampulan-
Lipata-Yook-Buenavista Road 12,375,000 12,375,000
---------------- ----------------
1. K0076+024.92-K0079+530 with exception 12,375,000 12,375,000
b. Oton-Mambog-
Cabolo-an-Abilay-San Jose Road 20,976,000 20,976,000
---------------- ----------------
1. K0017+275-K0018+187 20,976,000 20,976,000
b. Jct Bancal-Leon-
Antique Boundary Road 13,673,000 13,673,000
---------------- ----------------
1. K0034+180-K0034+213 862,000 862,000
2. K0038+275-K0038+832 12,811,000 12,811,000
c. Leganes-Sta. Barbara Road 6,711,000 6,711,000
---------------- ----------------
1. K0018+200-K0018+492 6,711,000 6,711,000
c. Kabankalan Jct-Salong
Tapi-Dacongcogon-Bantayan Road 12,627,000 12,627,000
---------------- ----------------
1. K0107+770-K0108+270 12,627,000 12,627,000
d. Antequera-San Isidro-
Libertad (Tubigon) Road 26,844,000 26,844,000
---------------- ----------------
1. K0019+650-K0020+800 26,844,000 26,844,000
d. Tabango-Catmon-La
Fortuna-Manlawaan-Gimarco Road 30,699,000 30,699,000
---------------- ----------------
1. K1031+907-K1033+242 30,699,000 30,699,000
e. Sambulawan Jct-
Calaguise-Calubian Road 30,153,000 30,153,000
---------------- ----------------
1. K1000+230-K1001+541 30,153,000 30,153,000
f. Tabing-Kawayan-Sta.
Rosa-Lawis-Tabango Road 2,448,000 2,448,000
---------------- ----------------
1. K1025+059-K1025+165 2,448,000 2,448,000
b. Merida-Lundag-Puting
Bato-Consolacion-Isabel Road 23,000,000 23,000,000
---------------- ----------------
1. K1108+(-040)-K1108+960 23,000,000 23,000,000
b. Eastern Bobongan-
Sominonot-Midsalip-Dumingag Road 19,947,000 19,947,000
---------------- ----------------
1. K1646+000-K1647+000 19,947,000 19,947,000
b. Imelda-Bayog-Kumalarang
Lapuyan-Margosatubig Road 50,000,000 50,000,000
---------------- ----------------
1. K1751+(-602)-K1752+572 50,000,000 50,000,000
b. Asuncion-San
Isidro-Laak-Veruela Road 100,901,000 100,901,000
---------------- ----------------
1. K1492+(-)950-K1493+248 50,554,000 50,554,000
2. K1493+478-K1495+451 45,379,000 45,379,000
3. K1495+855-K1496+072 4,968,000 4,968,000
b. Kapalong-Talaingod-
Valencia (Bukidnon) Road 70,352,000 70,352,000
---------------- ----------------
1. K1495+073-K1495+652 13,317,000 13,317,000
2. K1501+795-K1504+000 50,715,000 50,715,000
3. K1504+685-K1504+743 1,334,000 1,334,000
4. K1508+033-K1508+250 4,986,000 4,986,000
d. Paco-Roxas-Arakan
Valley-Jct. Davao-Bukidnon Road 16,338,000 16,338,000
---------------- ----------------
1. K1674+340-K1675+0 16,338,000 16,338,000
c. Butuan City-Talacogon-
Loreto-Veruela-Sta. Josefa Road 16,024,000 16,024,000
---------------- ----------------
1. K1313+586-K1314+283 16,024,000 16,024,000
b. Asuncion-San
Isidro-Laak-Veruela Road 47,944,000 47,944,000
---------------- ----------------
1. K1547+000-K1547+608 13,984,000 13,984,000
2. K1553+679-K1555+159 33,960,000 33,960,000
b. Quezon-Mapawa-
Capalayan-Espina-Navarro Road 54,757,000 54,757,000
---------------- ----------------
1. K1132+095-K1134+506 54,757,000 54,757,000
c. Socorro-Nueva
Estrella Pamosaingan Road 23,023,000 23,023,000
---------------- ----------------
1. K0004+474-K0005+475 23,023,000 23,023,000
b. Widening/Improvement of R-10
including ROW, Manila-Navotas 425,000,000 425,000,000
c. Construction/Improvement of Visayas
Avenue Extension including ROW, Quezon City
(Tandang Sora Avenue to Republic Avenue) 250,000,000 250,000,000
d. Construction/Improvement of Mindanao
Avenue Extension, Segment 2-C (Phases I
& II), Caloocan and Valenzuela Cities
including Right of Way Acquisition 243,000,000 243,000,000
g. Improvement/Rehabilitation of
Congressional Road including Drainage
Caloocan City 20,000,000 20,000,000
4. Widening of Camiling-Wawa-Bayambang-
Malasiqui-Sta. Barbara Bayambang Section,
Pangasinan 3rd District 60,000,000 60,000,000
---------------- ----------------
a. Bayambang Section 20,000,000 20,000,000
b. Malasiqui Section 40,000,000 40,000,000
2. Widening of Malhacan-Iba-
Camalig Road, Meycauayan, Bulacan 10,500,000 10,500,000
4. Widening of Daang
Maharlika Road, Nueva Ecija 20,000,000 20,000,000
---------------- ----------------
a. Km. 137+000-Km 139+000
with exceptions 10,000,000 10,000,000
b. Km. 145+000-Km 147+790
with exceptions 10,000,000 10,000,000
2. Widening of Lipa-
Rosario Road, Batangas 30,000,000 30,000,000
4. Widening of Batangas-
Lobo Road, Batangas 4th LD 15,000,000 15,000,000
6. Widening of Manila-Cavite
Road, (Kawit-Noveleta Diversion
Road/CEZ Diversion Road) Cavite
including RROW Acquisition 105,000,000 105,000,000
10. Construction/Concreting of
Candelaria By-Pass Road, Quezon,
including Bridges and RROW 50,000,000 50,000,000
---------------- ----------------
a. Bukal Sur Section, including RROW
and Construction of Slope Protection
at Bukal Sur to Maasin Sur, Candelaria 15,000,000 15,000,000
b. Mangilag Sur Section including RROW
and Construction of Slope Protection
at Malabantan Sur to Mangilag Sur 35,000,000 35,000,000
17. Widening/Improvement of
Lucena-Tayabas-Lucban Road, Quezon
Km 145+947-Km 141+100 with exception 20,000,000 20,000,000
30. Rehabilitation/Widening of
Lucena Diversion Road including
Construction of lined canal, Lucena
City, Quezon, K0126+000-K0134-328 50,000,000 50,000,000
42. Widening/Concreting of
Road in Antipolo City 2nd LD 120,000,000 120,000,000
---------------- ----------------
a. Marikina-Infanta Road, Km 27+860-
Km 33+860 (with exception) 60,000,000 60,000,000
b. Cabrera-Kayticling-Antipolo Road,
Km 29+100-Km 30+740 (with exception) 40,000,000 40,000,000
c. Antipolo Circumferential Road "A",
Km 25+700-Km 26+050 (with exception) 20,000,000 20,000,000
3. Widening of Daang
Maharlika, Camarines Sur 2nd DEO 75,000,000 75,000,000
---------------- ----------------
a. K0443+(-420)-K0446+724.36 25,000,000 25,000,000
b. K0446+724.36-K0455+13 50,000,000 50,000,000
5. Roxas City
Circumferential Road, Capiz 1st DEO 300,000,000 300,000,000
---------------- ----------------
a. Culasi-Libas Bridge, Sta. 127+044 150,000,000 150,000,000
b. Road Construction 150,000,000 150,000,000
---------------- ----------------
1. Sta. 123+032-Sta. 125+032 100,000,000 100,000,000
2. Sta. 126+335-Sta. 127+440
(with exception) 50,000,000 50,000,000
2. Widening/Construction of Flyover
Jct. M.J. Cuenco Avenue from Gen.
Maxilom Avenue to Juan Luna Avenue
including Drainage and ROW, Cebu City 180,000,000 180,000,000
4. Widening of Cebu-
Toledo Wharf Road, Cebu 2nd DEO 75,000,000 75,000,000
5. Construction of Flyover/Overpass at
Jct. Gorordo Avenue, Doña Modesta Gaisano
St., Two (2) Lanes, Lahug, Cebu City 200,000,000 200,000,000
6. Construction of Flyover/Overpass
at Jct. Gorordo Avenue-Salinas Drive
Lahug, Cebu City 200,000,000 200,000,000
9. Widening of Serging
Osmeña Blvd. Port Corridor, Cebu City 106,571,000 106,571,000
3. Widening of Pagadian-Zamboanga
City Road, Zamboanga del Sur 3rd DEO,
K1675+(-31)-K1678+51 20,000,000 20,000,000
3. Widening of Montevista-Compostela-
New Bataan-Maragusan-Mati Bdry. Road,
Compostela, Compostela Valley 12,000,000 12,000,000
5. Widening of Tagum-Panabo
Circumferential Road, Davao del Norte 160,920,000 160,920,000
---------------- ----------------
a. 1st District 80,920,000 80,920,000
---------------- ----------------
1. Mankilam to Pagsabangan Section 34,920,000 34,920,000
6. Widening of Davao-Cotabato
Old Road, Davao City 3rd District 42,000,000 42,000,000
3. Widening of Digos-
Makar Road, South Cotabato Sub-DEO 70,000,000 70,000,000
---------------- ----------------
a. K1647+500-K1549+000,
Lagao Section 20,000,000 20,000,000
b. K1648+388.44-K1654+941 50,000,000 50,000,000
5. Widening of Cotabato-Lanao-
Davao Road, Cotabato City Sub-DEO
K1853+(-15)-K1854+326 25,000,000 25,000,000
6. Widening of Marbel-Cotabato
Road, South Cotabato 2nd LD 40,000,000 40,000,000
b. Davao-Bukidnon Road
(8 Stations), Davao City 9,010,000 9,010,000
c. Davao-Cotabato Old
Road (2 Stations), Davao City 5,400,000 5,400,000
b. Construction/Widening/Upgrading/
Rehabilitation of Access Roads to
Airports, RoRo Ports and Declared
Tourist Destinations 4,080,087,000 4,080,087,000
---------------- ----------------
1. To Major Airports 455,000,000 455,000,000
---------------- ----------------
a. Access Road to Alaminos
Airport, Pangasinan 1st DEO 35,000,000 35,000,000
g. Pulupandan Port,
Pulupandan, Negros Occidental 6,000,000 6,000,000
h. Hinobaan Port,
Hinobaan, Negros Occidental 25,000,000 25,000,000
s. Construction of Lucena-Diversion
Talao-Talao Port Road including ROW,
Lucena City 40,000,000 40,000,000
3. To Declared/Strategic Tourists
Destinations (Roads and Bridges) 3,070,029,000 3,070,029,000
---------------- ----------------
a. CAR 222,450,000 222,450,000
---------------- ----------------
1. Rehabilitation/Improvement
of Loakan Road, Baguio City 20,000,000 20,000,000
6. Rehabilitation/Improvement of
Ballay-Tabio-Ionoman-Bulalacao Road,
(Bulalacao Lake) Kabayan, Benguet 9,450,000 9,450,000
2. Rizal Boundary-Famy-Quezon
Boundary Road linking the Marikina-
Infanta Road via Sta. Maria, Laguna 50,000,000 50,000,000
2. Rehabilitation/Improvement of
Talisay-Vinzon Road, Camarines Norte 30,000,000 30,000,000
3. Construction/Upgrading of Donsol-
Gimagaan Road going to Butanding,
Donsol, Sorsogon 1st LD 40,000,000 40,000,000
2. Improvement/Widening of Bacolod-Murcia-
Don Salvador Benedicto-San Carlos City
Road, Negros Occidental 1st DEO 300,000,000 300,000,000
---------------- ----------------
a. 1st Legislative District 100,000,000 100,000,000
b. 3rd Legislative District 200,000,000 200,000,000
3. Concreting of Guimaras
Circumferential Road, Guimaras 120,000,000 120,000,000
2. Concreting/Widening of Dauis-
Panglao Center Island Road, Bohol 50,000,000 50,000,000
3. Tagbilaran-Corella-
Sikatuna Road Section, Bohol 50,000,000 50,000,000
4. Concreting of Panglao
Island Circumferential Road,
Songculan Section, Bohol 169,000,000 169,000,000
5. Concreting/Improvement of
Sagbayan-Danao National Road, Bohol 48,670,000 48,670,000
6. Construction/Improvement of Concepcion
Danao-Buenavista, Carmen Road, Danao/
Carmen, Bohol including Bridges 96,125,000 96,125,000
---------------- ----------------
a. 2nd Sub-DEO 66,125,000 66,125,000
7. Improvement of Maribojoc-
Antiquera-Catagbacan Road, Loon, Bohol 50,000,000 50,000,000
9. Improvement of Cebu
North Coastal Road, Cebu 83,000,000 83,000,000
b. Construction of
Poblacion-Rock Formations, Biri 30,000,000 30,000,000
c. Construction of San
Vicente Roads, San Vicente 10,000,000 10,000,000
3. Construction/Improvement of
Service Road to Bingawan Falls,
Sagay, Camiguin 50,000,000 50,000,000
2. Improvement/Concreting of Island
Garden City of Samal (IGACOS)
Circumferential Road, Davao del Norte 100,000,000 100,000,000
4. Rehabilitation/Improvement
of Davao-Bukidnon Road leading
to Philippine Eagle Foundation,
Km 1698+626-Km 1701+500, Davao City 50,000,000 50,000,000
2. Improvement/Concreting of Dapa-
Union Gen. Luna Road, Siargao Island,
Surigao del Norte 117,432,000 117,432,000
4. Basud-Mercedes Coastal/
By-Pass Road, Camarines Norte 20,000,000 20,000,000
5. Concreting of Buruanga-Libertad
Road (Jct. Nabas-Buruanga/Libertad
Bdry. Road Section), Aklan 150,000,000 150,000,000
7. Upgrading of Zamboanga
West Coast Road including Bridges,
Zamboanga del Norte, 3rd LD, 2nd DEO 300,000,000 300,000,000
b. Construction of Lipadas
Bridge II along Davao-Cotabato Road 19,575,000 19,575,000
b. Rehabilitation/Reconstruction/
Strengthening of Bridges along National Roads 4,327,900,000 4,327,900,000
---------------- ----------------
1. National Capital Region 988,715,000 988,715,000
---------------- ----------------
a. North Manila DEO 7,300,000 7,300,000
---------------- ----------------
1. Rodriguez Bridge along
E. Rodriguez Road, Tondo 7,300,000 7,300,000
3. Dario Bridge
(South Bound) along EDSA, Balintawak 31,900,000 31,900,000
2. Deparo-Camarin Bridge
along Deparo-Camarin Road 1,300,000 1,300,000
2. Lambingan Bridge
along Gov. Pascual Avenue 76,950,000 76,950,000
2. Sapang Bridge
along Pangasinan-Tarlac Road 25,000,000 25,000,000
2. Nansangaan Bridge
along Villasis-Malasiqui Road 2,000,000 2,000,000
2. Lucban Bridge
Phase I, along Manila North Road 200,000,000 200,000,000
2. Baluarte Bridge 1
along Daang Maharlika (LZ) 3,550,000 3,550,000
3. Castellano Bridge
along Daang Maharlika (LZ) 8,400,000 8,400,000
2. Ibayo Bridge
along Balanga-Poblacion Road 17,000,000 17,000,000
g. Zambales 2nd DEO 55,000,000 55,000,000
---------------- ----------------
1. Camachile Bridge
along Olongapo-Bugallon Road 55,000,000 55,000,000
2. Lagalag Bridge
along Daang Maharlika (LZ) 7,000,000 7,000,000
4. Maligaya Bridge
along Daang Maharlika (LZ) 49,800,000 49,800,000
5. Sumulong Bridge
along Daang Maharlika (LZ) 10,000,000 10,000,000
2. Bayudbod Bridge
along Tagaytay-Nasugbu Road 55,000,000 55,000,000
2. Namunga Bridge I
along Batangas-Quezon Road 10,000,000 10,000,000
2. Antipolo Bridge
along Calapan South Road 4,500,000 4,500,000
2. Inagawan Bridge I
along Puerto Princesa South Road 16,000,000 16,000,000
2. Anameam Bridge
along Daang Maharlika (LZ) 22,000,000 22,000,000
3. Camandagan Bridge
along Bacolod South Road 8,900,000 8,900,000
2. Mambaid Bridge
along Dumaguete North Road 6,800,000 6,800,000
2. Baroy Bridge
along Linamon-Zamboanga Road 10,000,000 10,000,000
2. Bintuan Bridge
along Coron-Busuanga Road 27,631,000 27,631,000
3. Labangan Bridge II
along Coron-Busuanga Road 16,308,000 16,308,000
4. Malbato Bridge II
along Coron-Busuanga Road 16,731,000 16,731,000
2. Irawan Bridge 1
along Irawan-Tagburos Road 8,100,000 8,100,000
3. Irawan Bridge 2
along Irawan-Tagburos Road 8,100,000 8,100,000
4. Iratag Bridge 1
along Irawan-Tagburos Road 16,605,000 16,605,000
5. Hinlalamay Bridge
along Mindoro West Coastal Road 10,800,000 10,800,000
2. Madebong Bridge
along Tagbac-Lubang-Looc Road 8,100,000 8,100,000
3. Castañeda Bridge
along Tagbac-Lubang-Looc Road 8,100,000 8,100,000
3. Talagpun-ay Bridge
along Candoni-Sipalay Road 5,400,000 5,400,000
2. Canipayan Bridge
along Bugasong-Valderrama Road 30,330,000 30,330,000
3. Initan Bridge
along Sibalom-Pisanan Road 27,441,000 27,441,000
5. Linaban Bridge
along Iloilo-Antique Road 27,000,000 27,000,000
6. Guinbanga-an Bridge
along Atabay-Inabasan Road 18,000,000 18,000,000
7. Cabiawan Bridge
along San Remegio-Bugo Road 7,500,000 7,500,000
8. Budiawis Bridge
along Iloilo-Antique Road 10,200,000 10,200,000
4. Muertigue Bridge
alon San Isidro-Daja Road 10,800,000 10,800,000
2. Bulongto Bridge
along Calbayog-Allen Road 40,000,000 40,000,000
3. Caglanipao Bridge
along Calbayog-Allen Road 50,000,000 50,000,000
3. Laoag River Basin and Sabo Project, Ilocos Norte 263,000,000 263,000,000
6. Flood Control Structures in San Jose del Monte City 65,000,000 65,000,000
---------------- ----------------
a. Construction of Drainage Canal
along NCR-Bulacan Boundary, Bigte Ipo
Dam Road, Bigte 25,000,000 25,000,000
2. Rehabilitation/Improvement of
Pasong Tamo Creek, Barangay Culiat 10,600,000 10,600,000
2. Flood Control in
Quezon City 111,152,000 111,152,000
2. Tipas-Napindan Road,
Taguig City 45,000,000 45,000,000
b. Construction &
Rehabilitation of drainage
system along C-5 Road, North 20,000,000 20,000,000
3. Restoration of Damaged
Dike along Kalumpang Side
of Marikina River 30,000,000 30,000,000
3. Repair/Rehabilitation of
gravity wall along Nangka
River, Barangay Nangka, Phase 2,
Sta. 0+365-Sta. 0+786 40,000,000 40,000,000
4. Construction of Slope
Protection at Brgy. Fortune,
Sta. 0+000-Sta. 1+290 50,000,000 50,000,000
6. Rehabilitation/Construction of
Slope Protection along Nangka River 35,243,000 35,243,000
2. Riprapping of the
following River Banks and Creeks: 40,000,000 40,000,000
---------------- ----------------
a. Back of Olivarez College
River Bank, San Dionisio 10,000,000 10,000,000
c. Improvement of Parañaque
(South), San Dionisio 10,000,000 10,000,000
2. Marulas Creek,
Pulanglupa II 10,000,000 10,000,000
4. Implementation of Pavement
Management System (PMS) 11,810,000 11,810,000
---------------- ----------------
a. National Capital Region 800,000 800,000
b. Region I 800,000 800,000
7. Study/Applications on
Improvement of Quality Management
for Highway and Bridge
Construction and Maintenance 147,000,000 147,000,000
---------------- ----------------
a. Cordillera Administrative Region 43,000,000 43,000,000
d. Payments of Right-of-Way
(ROW) and Contractual Obligations 4,237,203,000 4,237,203,000
---------------- ----------------
1. ROW 2,662,964,000 2,662,964,000
---------------- ----------------
a. Roads 2,162,964,000 2,162,964,000
---------------- ----------------
1. Various Projects, Nationwide 2,082,000,000 2,082,000,000
---------------- ----------------
a. Completed Projects, Validated 1,400,000,000 1,400,000,000
e. Water Supply/Retarding
Basins/Rain Collectors and Sewerage 200,000,000 200,000,000
f. Public-Private
Partnership Strategic Support Fund 3,000,000,000 3,000,000,000
2. Concreting of Bangkerohan-Galutan-
Imelda-Hinatad-Mckinley Road, Catarman
Northern Samar 1st 50,000,000 50,000,000
4. Concreting of Polangi-Gebulwangan-Quezon-
Trangue Rd.-Mabini Road, Northern Samar 1st 75,000,000 75,000,000
5. Concreting of Colab-og-Lungib-Buenasuerte-
Maxvilla Road, Victoria, Northern Samar 1st 50,000,000 50,000,000
7. Construction/Improvement/Repair/
Rehabilitation of Public Buildings 29,272,000 29,272,000
2. Improvement of Jolo-Port-
Bud Daho-Romandier Road, Patikul 50,000,000 50,000,000
1. Public-Private Partnership Strategic Support Fund. The amount of Three Billion Pesos (P3,000,000,000) appropriated under B.I.f
shall be used for the conduct of feasibility studies, and engagement of legal, financial, and such other advisers needed to develop said
projects to be implemented under R.A. No. 6957, as amended by R.A. No. 7718, as well as payment of government obligations created
under contracts between the DPWH and private partners, including acquisition of right-of-way. However, no amount from this Fund shall be
used to pay private partner's financial obligations whose payment government has guaranteed.
Implementation of this provision shall be subject to guidelines to be issued by the DPWH, DOF, NEDA and DBM.
2. Tulay ng Pangulo Para sa Kaunlarang Pang-Agraryo. The amount of Two Billion Fifty Nine Million Four Hundred Twenty Thousand
Pesos (P2,059,420,000) appropriated under B.II.a.5 intended for the Tulay ng Pangulo Para Sa Kaunlarang Pang-Agraryo shall be released to
the DPWH upon endorsement by the Secretary of Agrarian Reform of the location or sites where the bridges will be constructed.
The Secretary of Public Works and Highways shall be responsible for ensuring that the list of location or sites of bridges to be
constructed with the corresponding budgetary allocation, community of farmer and fisherfolk beneficiaries, status of implementation, and
project evaluation and/or assessment reports are posted on the official website of the DPWH.
3. Restriction on Delegation of Project Implementation. The implementation of the projects funded herein shall not be delegated to
other agencies, except those projects to be implemented by the AFP Corps of Engineers, and inter-department projects to be undertaken by
other agencies and offices, including LGUs with demonstrated capability to and who will actually implement the projects by themselves
through the execution of a MOA for the purpose. In all cases, the DPWH shall exercise technical supervision over the projects.
4. Work By Administration. Work by administration may be undertaken by an agency without public bidding in case of imminent danger
to life or property during a state of calamity, or when time is of the essence arising from natural or man-made calamities or other causes
where immediate action is necessary to prevent damage to or loss of life or property, or to restore vital public services, infrastructure
facilites and other public utilities consistent with Section 53 (b) of R.A. No. 9184 and Section 53.2 of its Revised Implementing Rules
and Regulations (IRR), subject to the prior approval of the following: (i) the head of the agency concerned for projects costing Twenty
Million Pesos (P20,000,000.00) or less; (ii) the Secretary of Public Works and Highways for projects costing more than Twenty Million
Pesos (P20,000,000) but not exceeding Fifty Million Pesos (P50,000,000); and (iii) the President of the Philippines upon recommendation of
the Secretary of Public Works and Highways for projects costing more than Fifty Million Pesos (P50,000,000).
5. Road Right-of-Way Acquisition. The amount appropriated herein for Right-of-Way (ROW) shall be used solely for expenses necessary
in the acquisition of ROW and the removal and relocation of squatters and illegal occupants on the land or property, and shall not be
realigned to any other purpose: PROVIDED, That no project shall commence until all ROW issues have been properly resolved.
6. Engineering and Administrative Overhead Expenses . The DPWH is authorized to deduct not more than three percent (3%) of the
project cost for infrastructure projects released to its Central Office, two and one-half percent (2.5%) for those directly released to
its Regional Offices, or two percent (2%) for those directly released to its District Engineering Offices, as the case may be, to be used
for administrative overhead including the hiring of employees which shall be limited to those under job-orders or contracts of service or
such other personnel hired without any employer-employee relationship, pre-construction activities after detailed engineering,
construction project management, testing and quality control, acquisition, rehabilitation and repair of heavy equipment, and other related
equipment and parts used in the implementation of infrastructure projects and contingencies in order to ensure that at least ninety seven
percent (97%) of the infrastructure fund released to the Central Office, ninety seven and one-half percent (97.5%) of the infrastructure
fund released to the Regional Office, or ninety-eight percent (98%) of the infrastructure fund released to the District Engineering Office
by the DBM is made available for the direct implementation of the project: PROVIDED, That the engineering and administrative overhead
expenses shall be treated/booked-up as capitalized expenditures and shall form part of the project cost: PROVIDED, FURTHER, That
engineering and administrative overhead expenses shall not be authorized for infrastructure projects costing Five Million Pesos
(P5,000,000) and below. The DPWH shall submit, either in printed form or by way of electronic document, to the DBM, the House Committee
on Appropriations and the Senate Committee on Finance separate quarterly reports on said disbursements. Violation of, or non-compliance
with, this provision shall subject the government official or employee concerned to administrative, civil and/or criminal sanction in
accordance with Section 43 of Chapter 5, Section 57 of Chapter 6, and Section 80 of Chapter 7, Book VI of E.O. No. 292.
7. Rehabilitation/Reconstruction of Damaged Paved National Roads and Road Upgrading. The amount appropriated under B.I.a.1.b and
B.I.a.2 shall be used solely for the rehabilitation/reconstruction of existing pavement, and upgrading of national roads from gravel to
paved or asphalt to concrete, respectively, based on the list of priority projects generated by the Pavement Management System/Highway
Development and Management-4 (PMS/HDM-4) Programming System. In case of realignment of funds, such amounts shall be realigned only once
to the projects within the list generated by said PMS/HDM-4.
8. Preventive Maintenance of Roads and Bridges. The amount appropriated under B.I.a.1.a shall be used solely for the preventive
maintenance of national roads and bridges, based on the list of priority projects generated by the PMS/HDM-4 Programming System and Road
and Bridge Information Application Database of the DPWH.
9. Maintenance of Roads and Bridges. In addition to the amounts appropriated under A.III.a.1.c and B.I.a.1.a, the eighty percent
(80%) collections from the Motor Vehicles User's Charge accruing to the Special Road Support Fund shall be used for the maintenance of
roads and bridges and improvement of road drainage in accordance with Section 7 of R.A. No. 8794: PROVIDED, That releases from the
Special Road Support Fund shall be subject to prior approval of the Road Board, and submission of a Special Budget pursuant to Section 35,
Chapter 5, Book VI of E.O. No. 292. The DPWH shall submit, either in printed form or by way of electronic document, within thirty (30)
days from the end of each quarter to the House Committee on Appropriations and the Senate Committee on Finance, copy furnished the DBM and
COA, the financial and physical accomplishements reports on the status of the foregoing Fund. The Secretary of Public Works and Highways
shall be responsible for ensuring that said quarterly reports are likewise posted on the official website of the DPWH.
Any realignment of funds from the Special Road Support Fund shall be made upon the approval of the Road Board and used in accordance
with Section 7 of R.A. No. 8794: PROVIDED, That the Secretary of Public Works and Highways shall inform the DBM, in writing, of every
such realignment within five (5) calendar days from its approval and shall post such realignment on the official website of the DPWH.
In the maintenance of national roads and bridges, a minimum of ninety percent (90%) may be contracted out to qualified entities
including LGUs with demonstrated capability to and who will actually implement the work by themselves through the execution of a MOA for
the purpose pursuant to Section 88 of the General Provisions of this Act. The balance shall be used for maintenance by force account.
Five percent (5%) of the total road maintenance fund to be applied across-the-board to the allocation of each region shall be set
aside for the maintenance of the roads which may be converted to, or taken over as, national roads during the current year, and the same
shall be released to the Central Office of the DPWH for eventual sub-allotment to the regions and districts concerned: PROVIDED, That any
balance of the said five percent (5%) shall be restored to the regions on a pro-rata basis for the maintenance of existing national roads.
10. Road Safety and Maintenance of Local Roads. In addition to the amounts appropriated herein, the seven and one-half percent
(7.5%) collections from the Motor Vehicles User's Charge accruing to the Special Road Safety Fund shall be used for the installation of
adequate and efficient traffic lights and road safety devices, and the five percent (5%) collections accruing to the Special Local Road
Fund, for the maintenance of local roads, traffic management and road safety devices in accordance with Section 7 of R.A. No. 8794:
PROVIDED, That releases from said Funds shall be subject to prior approval of the Road Board, and submission of Special Budget pursuant to
Section 35, Chapter 5, Book VI of E.O. No. 292. The DPWH shall submit, either in printed form or by way of electronic document, within
thirty (30) days from the end of each quarter to the House Committee on Appropriations and Senate Committee on Finance, copy furnished the
DBM and COA, the financial and physical accomplishment reports on the status of the foregoing Funds. The Secretary of Public Works and
Highways shall be responsible for ensuring that said quarterly reports are likewise posted on the official website of the DPWH.
Any realignment from said Funds shall be made upon approval of the Road Board and used in accordance with Section 7 of R.A. No.
8794: PROVIDED, That the Secretary of Public Works and Highways shall inform the DBM, in writing, of every such realignment within five
(5) calendar days from its approval and shall post such realignment on the official website of the DPWH.
11. Allocation for Autonomous Region in Muslim Mindanao. In the regional allocation of funds sourced from the Special Road Support
Fund, Special Road Safety Fund and Special Local Road Fund under Section 7 of R.A. No. 8794, the DPWH shall ensure that the requirements
of ARMM are provided. The funds for the purpose shall be released based on, and made only upon submission by the DPWH of the allocation
for ARMM per province, copy furnished said provinces. The Secretary of Public Works and Highways shall be responsible for ensuring that
the amounts allocated for ARMM per province are posted on the official website of the DPWH.
In addition, the ARGMM shall submit, either in printed form or by way of electronic document, to the DBM and DPWH separate quarterly
reports on the implementation of the foregoing programs per province in the ARMM. The Regional Governor of ARGMM shall be responsible for
ensuring that said reports are likewise posted on the official website of the ARMM.
12. Realignment of Funds. The Secretary of Public Works and Highways is authorized to approve realignment of allotment released
from appropriations of the Department from one project/scope of work to another: PROVIDED, That: (i) the realignment shall be made only
once to another project/scope of work within the same project category as the original project and within the same DPWH Implementing Unit;
and (ii) the allotment released has not yet been obligated for the original project/scope of work: PROVIDED, FURTHER, That the Secretary
of Public Works and Highways shall inform the DBM, in writing, of every such realignment within five (5) calendar days from its approval
and shall post the realignment on the DPWH website within the same period.
In the realignment of funds, splitting of projects or deliberate creation of gaps to justify itemization of a single project shall
in no case be allowed.
13. Clustering of Road Projects. The Secretary of Public Works and Highways is authorized to cluster road projects of the DPWH to
ensure cost efficiency in the procurement thereof and effective management and implementation of the said projects. The implementation of
this provision shall be subject to the guidelines to be issued by the DPWH.
14. Implementation of Infrastructure Projects. The DPWH shall require all contractors of infrastucture projects to adopt a labor
intensive mode of implementation. In the hiring of laborers, the contractors shall give priority to socially and financially
disadvantaged residents of the LGUs where the project is located.
15. Implementation of Flood Control Projects in the National Capital Region. The DPWH shall continue implementing foreign-assisted
flood control projects and shall transfer the same to the MMDA only after their completion or after the loan agreement with the lending
institution has been revised to make the MMDA the implementing agency, whichever comes first.
16. Road Constructions. In the construction of roads, the DPWH shall include in its design and program cost the planting of trees
on both sides of the roads. The DENR shall ensure the sufficient supply of seedlings in their provincial seedling banks.
17. Lease-Rental of the Department of Public Works and Highways Engineering District Equipment. For purposes of maximizing the use
of government construction equipment and to establish alternative funding sources for their proper and continuous maintenance, all DPWH
Engineering Districts are hereby authorized, subject to the prior approval of the Secretary of Public Works and Highways, to lease their
respective idle bulldozers, cranes, graders, power shovels, fork lifts, dump trucks, desilting or tunnel boring machines, or any other
idle construction or heavy equipment of the Engineering Districts to private construction and development corporations, or to any private
business or realty enterprises: PROVIDED, That the amounts collected shall be deposited with the National Treasury as income of the
General Fund.
The covering lease-rental agreement shall, in all cases, carry a standard provision stating that the lessee shall be responsible for
the proper and continuous maintenance of the leased equipment as well as necessary replacement of spare parts, and shall shoulder the cost
of said maintenance during the effectivity of the lease agreement.
The DPWH shall provide the foregoing standard provision and issue the implementing guidelines of this provision.
18. Approved Budget for the Contract. Appropriations authorized herein shall not be used to fund any contract exceeding the
Approved Budget for the Contract (ABC). The ABC shall be consistent with the provisions of R.A. No. 9184, its Revised IRR and GPPB
Circular No. 02-2008 dated August 1, 2008 for the purpose of entering into contracts.
19. Contractor's Warranties. The DPWH shall ensure that the contractor's warranties are complied with pursuant to the pertinent
provisions of R.A. No. 9184 and its Revised IRR.
20. Special Assessments. The DPWH shall assess all service utilities and its franchise holders, or any other corporation, entity or
person, which may cause damage to infrastructure or any public works or highway projects, the full amount to be utilized for the
restoration, reconstruction or renovation of such damaged infrastructure. The proceeds from such assessment shall be deposited with the
National Treasury as a trust liability pursuant to Section 6 of the General Provisions of this Act and may be withdrawn in accordance with
pertinent budgeting, accounting and auditing rules and regulations.
21. Liquidated Damages. Liquidated damages collected by DPWH shall be deposited with the National Treasury as income of the General
Fund.
22. Quick Response Fund. The amount of Five Hundred Fifty Million Pesos (P550,000,000) appropriated under B.I.g for the Quick
Response Fund (QRF) shall serve as a stand-by fund to be used for relief, rehabilitation, reconstruction programs in order that the
situation and living conditions of people living in communities or areas stricken by calamities, epidemics, crises, and catastrophes
occuring during the year may be normalized as quickly as possible: PROVIDED, That said Fund shall be released immediately upon request of
the Secretary of Public Works and Highways: PROVIDED, FURTHER, That in the release of the QRF, the available balance of the Department's
QRF in the immediately preceding year shall be considered in determining the amount to be released in the current year.
The DPWH shall submit, either in printed form or by way of electronic document, to the National Disaster Risk Reduction and
Management Council copy furnished the DBM, a quarterly report on the status of the utilization of the QRF. The Secretary of Public Works
and Highways shall be responsible for ensuring that said quarterly reports are likewise posted in the official website of the DPWH.
23. Appropriations for Programs and Specific Activities. The amounts appropriated herein for the programs of the agency shall be
used specifically for the following activities in the indicated amounts and conditions:
PROGRAMS AND ACTIVITIES
Current_Operating_Expenditures
Maintenance
and Other
Personal Operating Capital
Services Expenses Outlays Total
I. General Administration and Support
A.__Programs/Locally-Funded_Projects
Personal Services
B.__Foreign-Assisted_Projects
Capital Outlays
Current_Operating_Expenditures_
Maintenance
and Other
Personal Operating Capital
Services Expenses Outlays Total
Total New Appropriations, Department of Public Works and Highways P 4,122,347,000 P 6,205,960,000 P 99,505,098,000 P 109,833,405,000
=============== =============== ================ ================