Rancho Mirage Lots

Similar documents
APPROVED 9 LOT TENTATIVE TRACT MAP - NEAR FINAL MAP

DESERT COMMUNITY COLLEGE DISTRICT PROPOSITION 39, GENERAL OBLIGATION BONDS (MEASURE B, MARCH 2004) PERFORMANCE AUDIT JUNE 30, 2010

Freestanding Drive-Thru Restaurant. Owner-User / Investment Opportunity

Application Process for Use of RCTC Property

UNINCORPORATED CAPITAL

CITY OF SAN MARCOS ENGINEERING DIVISION

H I G H W A Y 1 1 P A I N T E R S P A T H

NOTICE OF PUBLIC HEARING ON THE PROPOSED 2016 BUDGETS AND NOTICE OF PUBLIC HEARING ON THE AMENDED 2015 BUDGETS

RESOLUTION ADOPTING BUDGET, IMPOSING MILL LEVY AND APPROPRIATING FUNDS (2017)

CITY OF SAN JACINTO Capital Improvement Program Project Details

DORAN STREET AND BROADWAY/BRAZIL SAFETY AND ACCESS PROJECT PROJECT STUDY REPORT (EQUIVALENT) Appendix I Cost Estimates

CITY OF MODESTO COMMUNITY FACILITIES DISTRICT NO (HETCH HETCHY) CFD REPORT

Annual Disclosure Report for the Fiscal Year Ending June 30, 2017

LAND FOR SALE 2434 SPENCEVILLE RD WHEATLAND, CA ± ACRES

CITY OF MISSION VIEJO PUBLIC WORKS FEE SCHEDULE

The Board of Supervisors of the County of Riverside ordains as follows:

Balance Sheet Report Nelson Farm Homeowner's Assn. Inc. Operating As of March 31, 2016

EXHIBIT A CITY OF OLDSMAR PERMIT, INSPECTION AND PLANS EXAMINATION FEE SCHEDULE

THE SIMPSON COMPANY OF GEORGIA, INC.

SUBDIVISION IMPROVEMENTS AGREEMENT

HOLLOWELL PARK PROPERTY SYNOPSIS

Annual Disclosure Report for the Fiscal Year Ending June 30, 2016

Baytree Community Development District

Full Reserve Study. The Ridge at Rock Creek Marysville, WA 11/13/2012

City of Monte Sereno

University Drive Flood Risk Management Project Phase I 58 th Ave S to 500 S of 64 th Ave S City of Fargo Project FM-15-C1

Annual Report For the Fiscal Year Ending June 30, 2017

CITY OF CHINO ENGINEERING COST ESTIMATE. Quantity Unit Item Unit Total Cost Price Per Item. LS Traffic Control (5% of construction cost) 5% $

Montecito. Community Development District. Proposed Budget

WHEREAS, the proposed budget has been submitted to the Board of Directors of the District for its consideration; and

Electric Service Information Sheet Georgia Power Company

Village Glen HOA P.O. Box 1537, Arroyo Grande, CA. Reserve Study

CHEVAL WEST. Community Development District. Annual Operating Budget. Fiscal Year Version 3 - Final Budget: (Adopted at August 17, 2017 meeting)

CHEVAL WEST. Community Development District. Annual Operating Budget. Fiscal Year Version 1 - Final Budget: (Adopted at July 19, 2018 meeting)

DESERT COMMUNITY COLLEGE DISTRICT PROPOSITION 39, GENERAL OBLIGATION BONDS (MEASURE B, MARCH 2004) PERFORMANCE AUDIT JUNE 30, 2008

Adopted Budget Fiscal Year Bartram Springs Community Development District

Contact Us. Chaparral Pines Security. Webmaster Questions or comments about the website, please

LETTER OF INTENT FOR: HERITAGE HILLS COMMUNITY

Funding Source: Highway Safety Improvement Program (HSIP) Grant - $315,100; Measure I - $60,500

CUTLER CAY COMMUNITY DEVELOPMENT DISTRICT MIAMI-DADE COUNTY REGULAR BOARD MEETING OCTOBER 8, :00 P.M.

Rock Chalk Park - Infrastructure Report. July 2013

P r o c e d u r e s M a n u a l

TOWN OF WOODWAY FEE SCHEDULE PAGE 1 EFFECTIVE APRIL 18, 2017

CITY OF ELKO BID TABULATION * RE-BID* FOR Sports Complex April 4, 2018

Belmont Community Development District

CITY OF MOUNTLAKE TERRACE RESOLUTION NO.

2015 Financial Assurance 8/6/2015 Estimate Form (with pre-plat construction)

Maintenance Districts Budget Audit Preliminary Findings and Recommendations (West Village) January 20, 2016

TAUSSIG. & Associates, Inc. CITY OF ANAHEIM COMMUNITY FACILITIES DISTRICT NO (PLATINUM TRIANGLE) DAVID

FIVE YEAR CIP SUMMARY

Sand Dollar Development. Apartment Hold

Adopted Budget Fiscal Year Coral Bay Community Development District

Ave Maria Stewardship Community District

Planning Commission Staff Report

Encore Community Development District

Ave Maria Stewardship Community District

Lexington Oaks Community Development District

LEXINGTON OAKS. Community Development District. Annual Operating and Debt Service Budgets. Fiscal Year 2018

Balance Sheet Report Nelson Farm Homeowner's Assn. Inc. Operating As of January 31, 2017

APPRAISAL/BROKERAGE QUESTIONNAIRE FOR CEMETERY

Villagio Della Montagna

Accountant s Compilation Report

LETTING : CALL : 056 COUNTIES : MILLE LACS

City Council Report 915 I Street, 1 st Floor Sacramento, CA

REQUEST FOR PROPOSALS FOR CIVIL ENGINEERING SERVICES

Encore Community Development District

HACKBERRY HIDDEN COVE PUBLIC IMPROVEMENT DISTRICT NO. 2 SERVICE AND ASSESSMENT PLAN (UTILITY IMPROVEMENTS)

Balance Sheet Report Nelson Farm Homeowner's Assn. Inc. Operating As of January 31, 2018

F U L L R E S E RV E S T U DY R E P O RT

REQUEST FOR CITY COUNCIL ACTION

CHEVAL WEST. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 3 - Final Budget:

SPECIAL COUNCIL MEETING MARCH 6, Capital Improvements

PART #2 IDENTIFY WHO WILL PERFORM THE WORK (Complete either 2a or 2b)

Proposed Budget Fiscal Year South-Dade Venture Community Development District


FULL RESERVE STUDY FUNDING ANALYSIS PLAN Level I

Long Lake Ranch Community Development District

Adopted Budget Fiscal Year East Homestead Community Development District

Investment Opportunity in Palm Springs

Utilities Extension Project (UEP) North 2 Final Assessment Resolutions Water Wastewater Irrigation

City of Beaumont Fee Schedule

CARSON CITY CONSOLIDATED MUNICIPALITY NOTICE OF MEETING OF THE BOARD OF SUPERVISORS AGENDA

Annual Disclosure Report Fiscal Year Ending June 30, 2017

DEBTORS REPLY IN SUPPORT OF MOTION TO ESTIMATE THE HUGHES HEIRS OBLIGATIONS. South Street Seaport Limited Partnership, its ultimate parent, General

Annual Disclosure Report for Fiscal Year Ending June 30, 2017

South Fork East. Community Development District. Final Operating Budget Fiscal Year Proposed Approved August 23rd, 2012.

Permit Use. Garage Porch. Comments

PATRICK ENGINEERING & SURVEYING

Utilities Extension Project (UEP) North 2 Initial Assessment Resolutions Water Wastewater Irrigation

Replacement Reserve Study Report

TOWN OF JUNO BEACH 340 Ocean Drive Juno Beach, FL Phone: (561) Fax: (561)

MUNICIPAL SERVICE REVIEW FINAL

BOARD MEMORANDUM AGENDA ITEM NO. 6.2

Revised June 24, 2009

Construction Management Plan

KENDALL BREEZE HOMEOWNERS ASSOCIATION, INC. MIAMI, FLORIDA FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS REPORT DECEMBER 31, 2017

Calico Marketing Preview

370 Flood Insurance Promotion. 370 Flood Insurance Promotion

AGENDA UPDATE ECONOMIC DEVELOPMENT & FINANCE STANDING COMMITTEE MEETING MONDAY, JULY 6, 2015 III. COMMITTEE AGENDA

CITY OF LATHROP SPECIAL FINANCING DISTRICTS. Fiscal Year 2011/12

Transcription:

Large Lots Approved TTM s 3 Separate Tracts Near Major Retail Exclusive Listing SITE Howard Hamlin 562-537-5840 howard@hamlingooding.com BRE# 00824557

Tract Summary: 100 lots total, between three tracts. 82 lots TTM 36620 APN 685-100-013, 685-110-004 thru 009 9 Lots TTM 36621 APN 685-080-014 9 Lots TTM 36622 APN 685-100-006 Access / Location: From I-10 exit Bob Hope Dr and head south. Turn left on Ginger Rogers Rd. and right on Via Josefina. The property is on both sides of Via Josefina at Via Florencia. Address: 35204 Via Josefina, Rancho Mirage, CA 92270 Lot Size: Entitlements: Average lot size between the three tracts is 14,771 with a minimum of 9,057 and a max. of 19,461 Approved Tentative Maps Final Engineering: None Jurisdiction: Schools: Documents: City of Rancho Mirage Palm Springs Unified School District https://www.dropbox.com/sh/4ux6y6wflqiouqo/aadzncoxb82idvvx5borph3ya?dl=0

Cokeley Development Siena Vista Estates Built 2017-18 $1.15m - $1.2m Via Josefina Bob Hope Drive Del Webb Toll Brothers Estilo Built 2016-17 $1m - $1.29m Ginger Rodgers Road Toll Brothers Escala Built 2016-17 $860k - $1.14m Gerald Ford Drive

Tentative Tract No. 36620 Tentative Tract No. 36622 Tentative Tract No. 36621

Bob Hope Drive Tract 36622 Tract 36621 Tract 36620 Monterey Ave

Nearby Toll Brothers Sales

TRACT 36620 City of Rancho Mirage, CA Date: June 26, 2018 Net Acre 33.70 TOTAL: 82 Gross Acres: 33.70 SUMMARY CONSTRUCTION ITEMS AMOUNT $/DU ROUGH GRADING 576,074 7,025 SLOPE DRAINAGE - - EROSION CONTROL 247,138 3,014 SLOPE, PARKWAY, COMMON AREA LANDSCAPE & IRRIGATION 1,041,492 12,701 ENTRY MONUMENTATION & GATES 124,100 1,513 WALLS & FENCES 723,216 8,820 RETAINING WALLS - - DOMESTIC WATER IMPROVEMENTS 570,775 6,961 SEWER IMPROVEMENTS 590,585 7,202 STORM DRAIN SYSTEM IMPROVEMENTS 249,688 3,045 STREET IMPROVEMENTS 1,516,662 18,496 UTILITIES (Elec., Tel., Gas, CATV) 1,488,828 18,156 Sub-Total, CONSTRUCTION COSTS 7,128,557 86,934 10% CONTINGENCY 712,856 8,693. TOTAL, CONSTRUCTION COSTS 7,841,413 95,627 CONSULTING SERVICES CONSULTANTS 614,370 7,492 5% CONTINGENCY 30,718 749 Sub-Total, CONSULTING SERVICES 645,088 8,242 ASSESSMENTS, BONDS & FEES ASSESSMENTS / FEES, Paid @ Final Map 269,522 3,287 BONDS 115,828 1,413 ASSESSMENTS / FEES, Paid w/building Permit 3,151,957 38,438 3,537,307 43,138 5% CONTINGENCY 176,865 2,157 TOTAL, ASSESSMENTS, FEES & BONDS 3,714,173 45,295 ESTIMATED REFUNDS & REIMBURSEMENTS ELECTRIC, TELEPHONE, CATV & GAS REFUNDS (174,291) (2,126) Total,"Tract 36620" 12,026,383 146,663 This Cost Estimate is the Exclusive Property of Meriwether Company and Shall Not be Used in Any Manner, Without Prior Written or Verbal Consent from Meriwether Company. Any Reuse of this Cost Estimate by Meriwether Company or Others, Shall be at Meriwether Company and/or Other's Sole Risk, and Without Liability to Savello & Assocaites Prepared By Savello & Associates 6/26/2018 Page 1 of 11 Prepared For: Meriwether Company

TRACT 36621 City of Rancho Mirage, CA Date: June 26, 2018 Net Acre 5.00 TOTAL: 9 Gross Acres: 5.00 SUMMARY CONSTRUCTION ITEMS AMOUNT $/DU ROUGH GRADING 98,095 10,899 SLOPE DRAINAGE - - EROSION CONTROL 32,868 3,652 SLOPE, PARKWAY, COMMON AREA LANDSCAPE & IRRIGATION 134,592 14,955 ENTRY MONUMENTATION & GATES 57,500 6,389 WALLS & FENCES 131,028 14,559 RETAINING WALLS - - DOMESTIC WATER IMPROVEMENTS 67,250 7,472 SEWER IMPROVEMENTS 119,431 13,270 STORM DRAIN SYSTEM IMPROVEMENTS 57,005 6,334 STREET IMPROVEMENTS 208,500 23,167 UTILITIES (Elec., Tel., Gas, CATV) 145,920 16,213 Sub-Total, CONSTRUCTION COSTS 1,052,189 116,910 10% CONTINGENCY 105,219 11,691. TOTAL, CONSTRUCTION COSTS 1,157,408 128,601 CONSULTING SERVICES CONSULTANTS 134,623 14,958 5% CONTINGENCY 6,731 1,496 Sub-Total, CONSULTING SERVICES 141,354 16,454 ASSESSMENTS, BONDS & FEES ASSESSMENTS / FEES, Paid @ Final Map 50,150 5,572 BONDS 17,824 1,980 ASSESSMENTS / FEES, Paid w/building Permit 372,591 41,399 440,566 48,952 5% CONTINGENCY 22,028 2,448 TOTAL, ASSESSMENTS, FEES & BONDS 462,594 51,399 ESTIMATED REFUNDS & REIMBURSEMENTS ELECTRIC, TELEPHONE, CATV & GAS REFUNDS (19,130) (2,126) Total,"Tract 36621" 1,742,227 193,581 This Cost Estimate is the Exclusive Property of Meriwether Company and Shall Not be Used in Any Manner, Without Prior Written or Verbal Consent from Meriwether Company. Any Reuse of this Cost Estimate by Meriwether Company or Others, Shall be at Meriwether Company and/or Other's Sole Risk, and Without Liability to Savello & Assocaites Prepared By Savello & Associates 6/26/2018 Page 1 of 11 Prepared For: Meriwether Company

TRACT 36622 City of Rancho Mirage, CA Date: June 26, 2018 Net Acre 5.00 TOTAL: 9 Gross Acres: 5.00 SUMMARY CONSTRUCTION ITEMS AMOUNT $/DU ROUGH GRADING 93,264 10,363 SLOPE DRAINAGE - - EROSION CONTROL 32,868 3,652 SLOPE, PARKWAY, COMMON AREA LANDSCAPE & IRRIGATION 176,621 19,625 ENTRY MONUMENTATION & GATES 57,500 6,389 WALLS & FENCES 130,866 14,541 RETAINING WALLS - - DOMESTIC WATER IMPROVEMENTS 83,210 9,246 SEWER IMPROVEMENTS 46,096 5,122 STORM DRAIN SYSTEM IMPROVEMENTS 41,340 4,593 STREET IMPROVEMENTS 295,410 32,823 UTILITIES (Elec., Tel., Gas, CATV) 154,920 17,213 Sub-Total, CONSTRUCTION COSTS 1,112,095 123,566 10% CONTINGENCY 111,210 12,357. TOTAL, CONSTRUCTION COSTS 1,223,305 135,923 CONSULTING SERVICES CONSULTANTS 134,712 14,968 5% CONTINGENCY 6,736 1,497 Sub-Total, CONSULTING SERVICES 141,448 16,465 ASSESSMENTS, BONDS & FEES ASSESSMENTS / FEES, Paid @ Final Map 54,151 6,017 BONDS 18,893 2,099 ASSESSMENTS / FEES, Paid w/building Permit 375,935 41,771 448,980 49,887 5% CONTINGENCY 22,449 2,494 TOTAL, ASSESSMENTS, FEES & BONDS 471,429 52,381 ESTIMATED REFUNDS & REIMBURSEMENTS ELECTRIC, TELEPHONE, CATV & GAS REFUNDS (19,130) (2,126) Total,"Tract 36622" 1,817,052 201,895 This Cost Estimate is the Exclusive Property of Meriwether Company and Shall Not be Used in Any Manner, Without Prior Written or Verbal Consent from Meriwether Company. Any Reuse of this Cost Estimate by Meriwether Company or Others, Shall be at Meriwether Company and/or Other's Sole Risk, and Without Liability to Savello & Assocaites Prepared By Savello & Associates 6/26/2018 Page 1 of 11 Prepared For: Meriwether Company