House Bill 228 appropriates $25,000 in nonrecurring General Fund money to the City of Asheville for fiscal year 2025-2026. The funds are intended to support a study, or facilitate a study, on the feasibility and cost of extending Asheville’s municipal water system several miles to serve the new Pisgah View State Park.
The bill does not itself authorize construction or require the water system extension; it only provides state funding for planning and analysis. The act would take effect July 1, 2025, and is narrowly focused on one local infrastructure question involving a city utility system and a state park.
Impact
If enacted, the bill would create a one-time state appropriation to Asheville and direct those funds toward a feasibility and cost study related to water service expansion. It would not amend existing utility, environmental, or park statutes, but it could inform future local or state decisions about infrastructure investment, park development, and utility service planning for Pisgah View State Park and surrounding areas.
Sentiment
Based on the bill text and the absence of recorded committee debate or votes, the measure appears to be a straightforward local appropriations bill with a practical planning purpose. The available context suggests no documented opposition or controversy at this stage, and the bill’s limited scope indicates generally neutral-to-supportive treatment rather than a partisan or policy-driven dispute.
Contention
The main potential point of contention is whether state funds should be used for a study benefiting a specific city and a specific park project, rather than for broader statewide needs. Any disagreement would likely center on the necessity of the study, the appropriateness of the $25,000 appropriation, and whether extending Asheville’s water system is the best or most cost-effective way to serve Pisgah View State Park. No formal objections or competing viewpoints are recorded in the provided materials.
A Bond And Capital Improvements Act Of The State Of Delaware And Certain Of Its Authorities For The Fiscal Year Ending June 30, 2026; Authorizing The Issuance Of General Obligation Bonds Of The State; Appropriating Funds From The Transportation Trust Fund; Authorizing The Issuance Of Revenue Bonds Of The Delaware Transportation Authority; Appropriating Special Funds Of The Delaware Transportation Authority; Appropriating General Funds Of The State; Reprogramming Certain Funds Of The State; Specifying Certain Procedures, Conditions And Limitations For The Expenditure Of Such Funds; And Amending Certain Statutory Provisions.