Invitation to Bid (Downloadable)
-Invitation to Bid-October 30, 2014
-Invitation to Bid-February 12, 2015
-Invitation to Bid-March 2, 2015
-Invitation to Bid-March 12, 2015
-Invitation to Bid-March 30, 2015
-Invitation to Bid-Core Local Road
-Construction of Multi-Purpose Building
-Construction of Trading Post
-Flood Control
-Construction of Casa de Villaverde Phase I
-Improvement of Ubando Road
-Improvement of Urmaza St. and Aragon St.
-Construction of Multi-Purpose Shed
-Construction of Multi-Purpose Building Phase III (Women's Center for Skills Training
-Supply and Delivery of Equipments (Meat Processing)
-Supply and Delivery of Equipments (Dressmaking)
-Core Local Road Construction/Maintenance/Rehabilitation (Pieza, Villaverde, Nueva Vizcaya
-Core Local Road Construction/Maintenance/Rehabilitation (Ibung, Villaverde, Nueva Vizcaya
-Core Local Road Construction/Maintenance/Rehabilitation (Bintawan Sur, Villaverde, Nueva Vizcaya
-Flood Control Project (CHB Lined Canal Box Culvert - Ibung, Villaverde, Nueva Vizcaya
-Flood Control Project Gabion Revetment with Mattress - Bintawan Sur & Bintawan Norte, Villaverde, Nueva Vizcaya
-Invitation to Bid - Supply, Delivery and Palnting of Forest and Fruit Bearing Tree Sedddling (Sawmill and Cabuluan)
-Supply and Delivery of One (1) unit Brand New Passenger Van
-Supply and Delivery of Materials for the Construction or Improvement of Potable Water System of Various Elementary Schools
-Supply and Delivery of Eight (8) units Camera Phone and Three (3) units Laptop for Municipal Agriculture Office
-Improvement of Abalus St. and Morales St.
-Improvement of Rojo St., Salinas St., and Vergara St.
-Installation of Street Lights
-Improvement of Villaverde Public Market
-Construction of Multi-Purpose Building at Poblacion Municipal Cemetery
-Construction of Multi-Purpose Drying Pavement (MPDP)-Villaverde, Nueva Vizcaya
-Supply and Delivery of one (1) unit Brand New Passenger Van (2)
-Supply and Delivery of Information Technology Equipment for Community Based Monitoring System (CBMS)
-Supply and Delivery of Materials with Installation of Water Supply for the Smoked Tilapia Fish Processing Project for the Teampuyog Women's Association at Ibung
Notice of Award
-Extension of Multi-Purpose Gymnasium-April 21, 2014
-Improvement of Drainage System-April 21, 2014
-Costruction of Children's Play Shed-August 2014
-Improvement of Villaverde Public MArket-October 23, 2014
-Construction or Expansion of Barangay Health Station Phase II- November, 2014
-Construction or Expansion ofMunicipal Health Station (RHU)- November, 2014
-Rehabilitation of Umoc Swip
-Improvement of Drainage System Phase II - April 23, 2015
-Construction of Composting Facility - April 23, 2015
-Construction of Multi-purpose Building-July 2015
-Construction of Casa de Villaverde
-Improvement of Ubando Road
-Improvement of Urmaza and Aragon St.
-Supply and Delivery of Equipments for the Priority Poverty Reduction Project (Dressmaking)
-Supply and Delivery of Equipments for the Priority Poverty Reduction Project (Meat Processing)
-Construction of Multi-Purpose Building Phase III (Women's Center for Skills Training)
-Construction of Multi-Purpose Shed
-Core Local Road Construction/Maintenance/Rehabilitation at Bintawan Sur
-Core Local Road Construction/Maintenance/Rehabilitation at Ibung
-Core Local Road Construction/Maintenance/Rehabilitation at Pieza
-Flood Control Project (CHB Lined Canal Box Culvert) at Ibung
-Flood Control Project (Gabion Revetment with Mattress)
-Supply, Delivery & Planting of Forest Fruit Bearing tree seedlings at Brgys Sawmill & Cabuluan, Villaverde, NViz.
-Supply and Delivery of Eight (8) units Camera Phone and Three (3) units laptop for Municipal Agriculture Office
-Improvement of Rojo St., Salinas St. and Vergara St.
-Improvement of Abalus St. and Morales St.
FDP Documents
-2014 Annual Budget
-2014 Annual Procurement Plan or Procurement List (Summary by Office)
-2014 Annual Procurement Plan - Acctg. Office
-2014 Annual Procurement Plan - BFPO
2014 Annual Procurement Plan - MAGRO
-2014 Annual Procurement Plan - MAssO
-2014 Annual Procurement Plan - Mayor's Office
-2014 Annual Procurement Plan - MBO
-2014 Annual Procurement Plan - MCRO
-2014 Annual Procurement Plan - MEO
-2014 Annual Procurement Plan - MHO
-2014 Annual Procurement Plan - MPDO
-2014 Annual Procurement Plan - MSWDO
-2014 Annual Procurement Plan - MTO
-2014 Annual Procurement Plan - Nutrition Office
-2014 Annual Procurement Plan - PNP
-2014 Annual Procurement Plan - SB Office
-2013 Statement of Debt Service
-Annual GAD Accomplishment Report FY 2013
-2013 Statement of Receipts and Expenditures
-4th Quarter 2013, Statement of Cash Flow
-4th Quarter 2013, Special Education Fund Utilization
-4th Quarter 2013, Trust Fund Utilization
-4th Quarter 2013, Bids Results on Civil Works and Goods and Services
-4th Quarter 2013, 20% Component of the IRA Utilization
-4th Quarter 2013, Local LDRRMF Fund Utilization
-4th Quarter 2013, Unliquidated Cash Advances
-4th Quarter 2013, Manpower Complement
-4th Quarter 2013, Supplemental Procurement Plan
-2014 Statement of Debt Service
-1st quarter 2014, Statement of Receipts and Expenditures
-1st quarter 2014, Statement of Cash Flow
-1st quarter 2014, Special Education Fund Utilization
-1st quarter 2014, Trust Fund Utilization
-1st quarter 2014, Bids Results on Civic Works and Goods and Services
-1st quarter 2014, 20% Component of IRA Utilization
-1st quarter 2014, Local DRRM Fund Utilization
-1st quarter 2014, Unliquidated Cash Advances
-1st quarter 2014, Manpower Complement
-1st quarter 2014, Supplemental Procurement Plan
-2nd quarter 2014, Statement of Cash Flow
-2nd quarter 2014, Special Education Fund Ultilization
-2nd quarter 2014, Trust Fund Utilization
-2nd quarter 2014, Bids Results on Civil Works and Goods and Services
-2nd quarter 2014, 20% Component of IRA Utilization
-2nd quarter 2014, Local LDRRM Fund Utilization
-2nd quarter 2014, Unliquidated Cash Advances
-2nd quarter 2014, Manpower Complement
-2nd quarter 2014, Supplemental Procurement Plan
-3rd quarter 2014, Statement of Cash Flows
-3rd quarter 2014, SEF Utilization
-3rd quarter 2014, Trust Fund Utilization
-3rd quarter 2014, Bids Results on Civil Works and Goods and Services
-3rd quarter 2014, 20% Component of IRA Utilization
-3rd quarter 2014, Local LDRRM Fund Utilization
-3rd quarter 2014, Unliquidated Cash Advances
-3rd quarter 2014, Manpower Complement
-3rd quarter 2014, Supplemental Procurement Plan
-4th quarter 20%-Component of the IRA Utilization
-4th quarter 2014-Bids Results on Civil Works and Goods and Services
-4th quarter 2014-Unliquidated Cash Advances
-4th quarter 2014-Manpower Complement
-4th quarter 2014-Statement of Cash Flows
-4th quarter 2014-Trust Fund Utilization
-4th quarter 2014-Special Education Fund
-4th quarter 2014-Local LDRRM Fund Utilization
-4th quarter 2014-Supplemental Procurement Plan
-2015 annual Budget Report
-2015 Annual Procurement Plan
-2014 Annual Gender and Development Plan (GAD)
-2015 Statement of Debt Services
-2014 Statement of Receipts and Expenditures
-1st quarter 2015, 20% Component of IRA Utilization
-1st quarter 2015, Unliquidated Cash Advances
-1st quarter 2015, Manpower Complement
-1st quarter 2015, Trust Fund Utilization
-1st quarter 2015, Bids Results on Civil Works and Goods and Services
-1st quarter 2015, Statement of Cash Flow
-1st quarter 2015, Special Education Fund Utilization
-1st quarter 2015, LDRRMF Fund Utilization
-1st quarter 2015, Supplemental Procurement Plan
-2nd quarter 2015, 20% Component of IRA Utilization
-2nd quarter 2015, Unliquidated Cash Advances
-2nd quarter 2015, Trust Fund Utilization
-2nd quarter 2015, Bids Results on Civil Works, Goods and services, consulting services
-2nd quarter 2015, Statement of Cash Flows
-2nd quarter 2015,SEF Utilization
-2nd quarter 2015, LDRRMF Utilization
-2nd quarter 2015, Manpower Complement
-2nd quarter 2015, Supplemental Procurement Paln
-3rd quarter 2015, 20% Component of IRA Utilization
-3rd quarter 2015, Bids Results on Civil Works, Goods and Services
-3rd quarter 2015,LDRRMF Utilization
-3rd quarter 2015, Manpower Complement
-3rd quarter 2015, SEF Utilization
-3rd quarter 2015, Statement of Cash Flows
-3rd quarter 2015, Supplemental Procurement Plan
-3rd quarter 2015, Unliquidated Cash Advances
-3rd quarter 2015,Trust Fund Utilization
-4th quarter 2015, Statement of Cash Flow
-4th quarter 2015, SEF Utilization
-4th quarter 2015,20% Component of IRA Utilization
-4th quarter 2015, Unliquidated Cash Advances
-4th quarter 2015, LDRRMF
-4th quarter 2015, Supplemental Procurement Plan
-4th quarter 2015, Trust Fund Utilization
-4th quarter 2015, Bids Results on civil works, goods and services, consulting services
-4th quarter 2015, Statement of Debt Services
-4th quarter 2015, Manpower Complement
-4th quarter 2015, Statement of Receipts and Expenditures
-2016 Annual Budget
-2016 Annual Procurement Plan
-2016 Gender and Development Plan
-1st quarter 2016, Statement of Cash Flows
-1st quarter 2016, Unliquidated Cash Advances
-1st quarter 2016, Trust Fund Utilization
-1st quarter 2016, 20% Component of IRA Utilization
-1st quarter 2016, Bids Result on Civil Works, Goods and Services and Consulting Services
-1st quarter 2016, SEF Utilization
-1st quarter 2016, Supplemental Procurement Plan
-1st quarter 2016, Manpower Complement
-2nd quarter 2016, Unliquidated Cash Advances
-2nd quarter 2016, SEF Utilization
-2nd quarter 2016, 20% Component of IRA Utilization
-2nd quarter 2016, Statement of Cash Flows
-2nd quarter 2016, Trust Fund Utilization
-2nd quarter 2016, LDRRMF Utilization
-2nd quarter 2016, Manpower Complement
-2nd quarter 2016, Supplemental Procurement Plan
-2nd quarter 2016, Bids Result on Civil Works, Goods and Services and Consulting Services
-3rd quarter 2016, 20% Component of IRA Utilization
-3rd quarter 2016,Bids Result on Civil Works, Goods and Services and Consulting Services
-3rd quarter 2016,Unliquidated Cash Advance
-3rd quarter 2016, SEF Utilization
-3rd quarter 2016,Trust Fund Utilization
-3rd quarter 2016,Statement of Cash Flows
-3rd quarter 2016, LDRRMF Utilization
-3rd quarter 2016, Manpower Complement
-3rd quarter 2016, Supplemental Procurement Plan
-4th quarter 2016, 20% Component of IRA Utilization
-4th quarter 2016, Bids Result
-4th quarter 2016, Trust Fund Utilization
-4th quarter 2016,Supplemental Procurement Plan
-4th quarter 2016,SEF Utilization
-4th quarter 2016, Unliquidated Cash Advances
-4th quarter 2016, Statement of Cash Flows
e-Bulletin Board [Bidding Result - Abstract]
Bidding Result (February, 2013)
Abstract of bids as Calculated (February 8, 2013)
Abstract of bids as Calculated (February 8, 2013)
Bidding Result (February, 2013)
Bidding Result (August 8, 2013
Abstract of Bids as Calculated (August 8, 2013)
Bidding Result (August 28, 2013)
Abstract of Bids as Calculated (August 28, 2013)
Bidding Result - December 2013
Abstract of bids as Calculated - December 2013
Bidding Result for 2nd quarter of 2014 (Improvement of Drainage System)
Bidding Result for 2nd quarter of 2014 (Extension of Multi-purpose Gymnasium)
Abstract of Bids as Calculated for 2nd quarter of 2014 (Improvement of Drainage System)
Bidding Result - Construction of Children`s Play Shed (July 2014)
Abstract of Bids as Calculated (Construction of Children's Play Shed-July 2014)
Bidding Result-Improvement of Villaverde Public Market (October 20, 2014)
Bidding Result-Improvement or Expansion of Municipal Health Station or RHU
Bidding Result-Construction or Expansion of Barangay Health Station Phase II
Abstract of Bids as Calculated and REad-January 9, 2015
Bidding Result (Rehabilitation of Umoc Swip)
Bidding Result (Improvement of Drainage system Phase II) - April 17, 2015)
Bidding Result (construction of Composting Facility) - April 17, 2015)
Bidding Result (construction of Composting Facility) - April 17, 2015)
Abstract of Bids as Calculated and Read (Improvement of Drainage System Phase II - April 17, 2015)
Abstract of Bids as Calculated and Read (Improvement of Drainage System Phase II - April 17, 2015)
Abstract of Bids as Calculated and Read (Construction of Composting Facility - April 17, 2015)
Abstract of Bids as Calculated (Construction of Trading Post)
-Construction of Multi-Purpose Building Phase III (Women's Center for skills Training
-Construction of Multi-Purpose Shed
-Supply and Delivery of Eight (8) units Camera Phone and Three (3) units Laptop for Municipal Agriculture Office
-Supply and Delivery of Materials for the Construction or Improvement of Potable Water system of Various Elementary Schools
Comparative Statement of Collection
REAL PROPERTY TAX
2013 2014 2015
JANUARY 482,300.16 38,141.87 543,468.10
FEBRUARY 322,279.54 38,752.86 482,039.94
MARCH 851,056.98 46,480.18 930,232.82
APRIL 179,958.22 103,056.00 93,607.16
MAY 83,274.28 47,637.54 214,667.06
JUNE 193,082.82 181,926.30 62,012.52
JULY 26,432.76 32,028.82 71,769.82
AUGUST 22,231.66 88,250.76 43,017.65
SEPTEMBER 101,815.70 102,698.78 67,681.44
OCTOBER 21,303.56 704,687.60 44,532.26
NOVEMBER 347,523.18 322,369.56 83,766.58
DECEMBER 60,589.92 556,225.56 20,461.52
TOTAL 2,358,561.06 2,287,409.00 2,657,256.87
 

BUSINESS TAX

2013 2014 2015
JANUARY 347,023.40 61,570.18 444,835.12
FEBRUARY 59,447.00 9,643.30 80,023.70
MARCH 45,168.88 32,101.54 70,664.13
APRIL 41,998.24 28,335.14 71,155.41
MAY 27,556.92 32,017.59 33,822.02
JUNE 13,805.86 71,535.15 43,516.88
JULY 71,937.10 22,354.60 18,104.60
AUGUST 11,373.48 67,708.44 41,754.64
SEPTEMBER 8,748.74 31,725.43 31,160.30
OCTOBER 26,746.25 31,743.25 26,161.75
NOVEMBER 12,333.46 68,586.35 23,063.88
DECEMBER 19,993.37 348,032.69 15,254.66
TOTAL 686,133.34 805,353.70 899,517.09
 

FEES & CHARGES

  2013 2014 2015
JANUARY 327,615.45 37,327.00 455,065.30
FEBRUARY 74,985.00 46,348.02 102,562.40
MARCH 64,589.00 63,704.00 88,318.70
APRIL 94,062.70 38,646.64 53,016.10
MAY 40,966.00 43,053.20 83,682.10
JUNE 45,683.00 149,850.20 89,272.70
JULY 41,983.00 73,992.60 62,670.80
AUGUST 42,646.00 107,698.91 59,752.45
SEPTEMBER 21,540.00 132,532.32 48,730.00
OCTOBER 18,531.02 125,950.00 24,000.00
NOVEMBER 17,309.41 119,250.00 68,386.70
DECEMBER 9,060.00 243,730.00 19,300.00
TOTAL 800,104.56 1,182,083.00 1,154,757.25
 

ECONOMIC ENTERPRISES

  2013 2014 2015
JANUARY 44,814.23 17,281.50 77,348.25
FEBRUARY 28,441.73 32,385.80 79,188.94
MARCH 30,499.73 74,182.25 58,067.97
APRIL 26,896.23 39,873.90 12,362.50
MAY 21,307.79 39,140.90 43,351.44
JUNE 15,646.79 150,955.48 37,941.47
JULY 14,722.50 56,222.90 44,371.47
AUGUST 4,150.00 53,160.90 29,225.00
SEPTEMBER 16,590.40 33,289.55 94,078.03
OCTOBER 24,571.40 26,978.50 45,726.94
NOVEMBER 33,852.90 47,235.90 60,494.47
DECEMBER 29,619.90 62,520.65 33,611.47
TOTAL 291,113.50 633,228.20 615,767.95
 

GRAND TOTAL

  2013 2014 2015
JANUARY 1,201,753.24 154,320.60 1,520,716.77
FEBRUARY 485,153.91 127,129.98 743,814.98
MARCH 991,314.59 216,467.97 1,147,283.62
APRIL 342,915.39 107,886.24 230,141.17
MAY 173,107.99 161,849.23 375,522.62
JUNE 268,218.47 554,267.13 232,743.57
JULY 155,075.36 184,598.92 322,063.56
AUGUST 80,401.14 316,819.01 173,749.74
SEPTEMBER 148,694.84 300,246.08 241,649.77
OCTOBER 91,152.23 889,359.35 140,420.95
NOVEMBER 77,731.23 582,595.43 235,711.63
DECEMBER 119,263.19 1,210,508.90 88,627.65
TOTAL 4,135,915.56 4,806,048.79 5,452,446.03
Accomplishment Report
LGU Support to Senate Bill on Graphic Health Warning
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    Health Office

    ORGANIZATIONAL CHART

    Atty. RONELIE U. VALTORIBIO
    Municipal Mayor

    Mrs. DOLORES DACANAY
    DOH-Representative

    Dr. TELESFORO A. RAGPA
    Municipal Health Officer

    Mr. MAXIMO FARIÑAS
    Malaria Coordinator

    Ms. BERNICE EDEN NOVAL
    Circuit Med-Tech.

    Mr. SONNY REY  O. LACAMENTO
    Sanitation Inspector

    Mrs. MARY JANE C. MARIÑAS
    Nurse II

    Mr. MARK ANTHONY D. CALLEJO
    Medical CLerk

    Mrs. GEMMA G. TRIA
    Midwife II

    Mrs. NIEVES G. SOLIS
    Midwife II

    Mrs. MARIELOU D. NAVALTA
    Midwife II

    Mrs. MARYJANE M. CHUNG-AO
    Midwife II

    Mrs. ELMA C. CORPUZ
    Midwife II

    Mr. WILLIAM C. ACPAL
    Admin. Aide I(Driver)

    ACCOMPLISHMENT REPORT
    cy 2012

    Table I. Health Program
    Municipality of Villaverde, Nueva Vizcaya

    Health Programs/Activities

    Target

    Accomp.

    Percent

    1. Family Planning
        a. Recruitment of New Acceptors

    472

    460

    97

        b. Maintenance of Current Users

    1438

    1396

    97

        c. Contraceptive Prevalence Rate

    60 NOH

    62.5

    n/a

    2. Maternal Care
        a. Pregnant women w/ ?4 prenatal visits

    638

    450

    71

        b. Conduct Normal Spontaneous Vaginal Delivery

    547

    316

    58

        c. Conduct of at least 2 post partum visit

    547

    411

    75

        d. Postpartum women initiated breastfeeding

    547

    404

    74

    3. Child Care
        a. Children protected  against tetanus @ birth

    547

    355

    65

        b. Growth monitoring

    547

    289

    53

        c. Referral of newborns for screening

    547

    260

    48

        d. Children @ 2-59 mos. seen ? diarrhea

    actual

    11

        e. Children @ 2-59 mos. given ORT

    actual

    11

    3. Expanded Program on Immunization
        a. Fully Immunized Children (FIC)

    492

    248

    50

        b. Pregnant women w/ >2 doses of Tetanus Toxoid

    638

    148

    23

    4.Tuberculosis Control Program
        a. Treatment of sputum Positive Cases

    actual

    10

    100

    5. Nutrition Program
        a. Vitamin A Supplementation
          a-1. Among children @ 6-11 mos.

    246

    232

    94

          a-2. Among children @ 12-59 mos.

    1968

    1904

    97

          a-3. Among Pregnant Mothers

    638

    407

    64

          a-4. Among lactating Mothers

    547

    400

    73

    6. Cardio Vascular Disease Control Program
        a. BP Monitoring

    1276

    1276

    100

    7. Control of Acute Respiratory Infections
        a. Pneumonia Cases(0-24 mos. old)

    275

    5

    1.82

    8. Health Education Program
        a. Conduct of Household Teaching Classes

    24

    20

    83

        b. Conduct of Community Assemblies

    actual

    9

    100

        c. Conduct of Pre Marriage Counseling

    Actual

    12 sessions/

    59 pairs

    100

        d. Conduct of group health teachings

    288

    281

    97.5

    9. Environmental Sanitation
        1. HH w/ access to improved or safe H2O
            > Level I

    3038

    2656

    96.97

            > Level II

    290

            > Level III

    0

       2.  a. HH w/ sanitary toilet

    3038

    2846

    93.7

            b. Toilet Construction

    Actual

    73

       3.  HH w/ satisfactory disposal of waste

    3162

    2640

    87

            c. Food Sanitation
               c-1. Conduct Inspection to Food Establishments
                      Restaurant/Eatery/Canteen

    16

    16

    100

                      Bakeries

    9

    9

    100

                      Meat Vendor

    3

    3

    100

                      Sari-sari Stores

    198

    198

    100

                      Talipapa

    4

    4

    100

                      Refreshment Parlor

    1

    1

    100

                      H2O Refilling Station

    3

    3

    100

                      Ambulant Food Vendor

    31

    31

    100

                      School Canteens

    6

    6

    100

    e. Issuance of Sanitary Permits
                      Restaurant

    16

    16

    100

                      Bakeries/Food Mfg.

    9

    9

    100

                      Meat Vendor

    3

    3

    100

                      Sari-sari Stores

    198

    191

    96.46

                      Talipapa

    4

    4

    100

                      Refreshment Parlor

    4

    1

    25

                      H2O Refilling Station

    3

    3

    100

                      Ambulant Food Vendor

    31

    2

    6.45

                      School Canteens

    6

    6

    100

    Family Planning:

    •  A remarkable increase in the number of New Acceptors is noted in 2012. From a 368 new acceptors of the different family planning methods in 2011, we were able to reach 460 new acceptors at the end of 2012. This is about 25% higher from the previous year. Maintenance of Current Users however had decreased by 3%, from 100% in 2011 to 97% in 2012. The Contraceptive Prevalence Rate (CPR) in return went down to 62.5 % which is still within the national standard of 60%. This down changes in the number of current users and CPR were due to the instability of family planning supplies from the DOH.

    Maternal Care:

    •  Slight increases were noted on the most critical aspects of the program. Pregnant women are becoming aware in the importance of having more frequent prenatal check done in proper time. Four (4) prenatal checkups or more is the DOH standard required for a pregnant woman before she delivers. In 2012, 71% of our pregnant women availed this quantity and quality of checkups. This is higher when compared in 2011 when there was only 62% of our target met the standard.
    •  Facility based deliveries also went up, from 42% in 2011 to 58% in 2012. This can be due to the increased confidence of our health personnel in handling deliveries brought about by the continuing training, skills enhancement and the provision of updates in basic obstetrical care. The improved birthing facility also contributed to the expanded coverage of our target clients.

    Child Care:

    •  Provision of vaccines both to the mother and her child had a tremendous decreased in 2012 due to the insufficiency and lack of regular vaccine supply from the DOH. Our full immunization to children had gone down from 69 % in 2011 to 50% in 2012 due to the frequent absence of Hepatitis B vaccine supply in which we greatly depend from the DOH.
    •  Tetanus Toxoid immunization to mothers also went down from 53% in 2011 to 23% in 2012.

    Tuberculosis Control Program

    •  We achieved 100% in the treatment of ten (10) positive TB patients, maintaining a Cure Rate of 92%
    •  Case detection & Contact tracing need to be enhanced in the program.

      Nutrition Program:

    •  Vitamin A supplementation among children @ 6-11 months had increased from 87% in 2011 to 94% in 2012. Likewise among 12 to 59 months, an increase of 5% was achieved in 2012 posting 97% coverage.

    Table II.

    • An increasing trend in the number of preschool children with normal nutritional status is noted from 2010 to 2012 with an increment of 2-3%.
    •   Simultaneously, a down rolling in the number of preschoolers who are under weight and severely underweight was observed in 2011with 2.29% decrease.

    Control of Acute Respiratory Infection:

    •  There were 5 pneumonia cases seen in 2012 and 2 cases in 2011. All were managed and cured.

    Health Education Program:

    •  High coverage of targets is noted in the program. Information regarding the resurging diseases should also be emphasized.

    Environmental Sanitation:

    •  High coverage of the program is maintained.

    Figure 1.

    3-Year Comparison -Dengue Cases. From 2010 to 2012
    Villaverde, Nueva Vizcaya

    • Due to the continuing advocacy on environmental sanitation and an increased awareness of the people on the signs and symptoms of dengue, the high incidence from 2010 to 2011 including a death in2010, was prevented. In 2012, low cases of dengue were noted during the rainy months of May to September when dengue cases are expected to rise as an established trend from 2010 to 2011.Table III
    • Part of the Anti Malaria Program is the conduct of indoor residual spraying in order to maintain the malaria-free statusof border municipalities and barangays .


    Figure 2
    . Indoor residual spraying in Bgy. Pieza

    Other Health Related Activities

    1.  Universal Medical Dental Check-up & 2nd “Oplan Alis Kuto”

     Figure 3.

     Universal Medical & Dental Check-up (UMDC)
    & 2nd “Oplan Alis Kuto” (Head Lice Treatment)
    > A child-friendly concern of LGU-Villaverde  and the Dep.Ed.

    Activity Total enrollees Beneficiaries/Examined Percentage
    1. Alis Kuto 3,216 475School Children 20.51
    2. UMDC 3,216 3,105 96.55