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Agenda items · Spending · Meetings
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501-601 Compton Boulevard Environmental Impact Analysis – Geology and Soils
Your new home or workplace will be built to strict earthquake safety standards – engineers will use deep pile foundations and reinforced construction techniques specifically designed to protect buildings and residents during earthquakes, even though liquefaction risk exists in this area.
Sep 13, 2022
Geology and Seismic Hazards Impact Analysis
The project's foundation design accounts for earthquake shaking and soil liquefaction risks, ensuring structural safety for future residents and occupants through compliance with current seismic building standards.
Sep 6, 2022
Sales Tax Revenue Bonds for Street and Road Improvements
Your neighborhood streets will be improved and rehabilitated, making them safer and more passable for you and your family. These street repairs will be funded through bond financing using local sales tax revenues that the county already receives, rather than through new taxes.
Dec 15, 2020
Schedule Public Hearing for Sales Tax Bonds Issuance
Your streets and roads will be improved through this bond financing, which will help reduce potholes and enhance safety in your neighborhood.
Dec 1, 2020
Schedule Public Hearing for $45 Million Sales Tax Bonds
Your streets and roads will be repaired through this funding; Phase 2 projects will repair at least 22 local streets within Compton, with construction starting within three months and completion within 18 months.
Dec 1, 2020
Construction Contract with Hardy & Harper for Citywide Road Repairs
$1.5MMeasure M transportation funding portion
Independent Cities Finance Authority
$45.0MSales tax revenue bonds for local street and road improvement projects from Measure M, Measure R, and Proposition C funds
Sep 2, 2025
city council
The council's largest approved spending commitments were a $9.69M street rehabilitation contract with Palp, Inc. dba Excel Paving funded by MTA Bond Funds (5-0) and a $5.07M citywide road repair contract with Hardy & Harper, Inc. funded across Measure P, Measure M, and Measure R (5-0); Palp, Inc. dba Excel Paving is a flagged repeat vendor appearing in two agenda items totaling $20.34M on this agenda. The council also approved a $2.32M contract amendment with R2Build (dba R2B Engineering) for Tank Farm Reservoir upgrades from the Water Enterprise Fund (5-0), a $1.08M annual supply contract with Ferguson Waterworks (5-0), a $100,000 purchase order with Roadline Products, Inc. for pavement marking equipment with no council discussion (5-0), a health insurance contribution rate fix directing $2,520 and $2,409 per employee and annuitant respectively to CalPERS (5-0), and a $73,160 JAG grant budget amendment — with the city manager stating primary use will be license-plate-reader cameras — (5-0). Three items were not approved: the FY 2025-26 salary schedule budget amendment — which contains a $96,324 line item sitting just below the $100,000 approval threshold — was tabled at Council Member Duhart's request for more detail; a six-year lease with Fathers and Mothers Who Care covering $175,000 in building renovations at a city-owned property and $2,332 per month in rent was tabled after council members said the staff report lacked cost justification; and a budget amendment to direct approximately $141.82M to CalPERS for pension liability — making CalPERS a repeat vendor across four line items totaling $141.83M on this agenda — was pulled by the city manager, who said he wants to present it at a public workshop first. Nineteen residents addressed the council during public comment, with multiple speakers citing homelessness, a 6.8% property tax reassessment, deteriorating streets and missing street signs, and inconsistent street sweeping; one speaker alleged the city manager has been spending beyond the $50,000 limit set by Resolution 26100 for the past year.