Report of the board of directors to the stockholders

(New York :  [s.n.],  1913-)

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  1913: Page 33  



33

Tht^ New York Central and Hudson River Railroad Company

DETAIL OF AUXILIARY OPERATIONS
 

Ferry lines
Revenues
Expenses
 

1913

8601,151 34
623,373 14
 

1912

$533,669 57
545,655 65

$11,986 08
 

Increase in

earnings or

decrease in

cost

$67,481 77
 

Decrease in

earnings or

increase in

cost

$77,717 49
 

Deficit
 

822.221 80
 


 

$10,235 72
 

Harbor terminal transfers
Revenues
E.\penses
 

$1,951,645 43
2,582,382 64
 

82,030,966 43
2,357,068 91
 


 

879,321 00
225,313 73
 

Deficit
 

$630,737 21

$1,186,475 65
1,318,959 87
 

8326,102 48

81,074,995 26
1,248,288. 36
 


 

8304,834 73
 

Dining and special car service
Revenues
Expenses
 

8111,480 39
 

870,671 51
 

Deficit
 

$132,484 22

$28,5,090 73
133,802 42

$151,288 31

$35,172 61
13,432 70

$21,739 91

$481,600 44
221,323 48
 

8173,293 10
 

840,808 88
 


 

Electric light and power plants
Revenues
Expenses
 

8269,705 16
125.016 03
 

81o,.385 57
 

S8.7S6 39
 

Net revenue
 

8144,689 13
 

86,599 18
 


 

Gas proddcing pl.ants
Revenues
E.xpenses
 

833,552 08
14,013 65
 

81,620 53
580 95
 


 

Net revenue
 

819,538 43
 

82,201 48
 


 

Grain elevators
Revenues
E.xpenses
 

8439,093 80
217,147 78
 

$42,506 64
 

84,175 70
 

Net revenue
 

$260,276 96

$651,049 71
363,698 05
 

$221,946 02

8656,392 56
355,014 88
 

$38,330 94
 


 

Stock yards
Revenues
Expenses
 

85,342 85
8,683 17
 

Net revenue
 

$287,351 66

$444,618 59
391,275 28
 

8301,377 68
 


 

814,026 02
 

St.ation rest.aurants
Revenues
Expenses
 

83.53,502 57
302,438 71
 

891,116 02
 

888,836 57
 

Net revenue
 

$53,343 31
 

851,063 80

8184,191 79
86,736 79
 

$2,279 45
 


 

Freight storage plants
Revenues
Expenses
 

$143,540 82
77,289 83
 

$9,446 96
 

$40,650 97
 

Net revenue
 

$66,250 99
 

897,455 00

83,014 67*
3,676 79*

$662 13*
 

$31,204 01
 

Demonstration far.\is
Revenues
Expenses
 


 

$3,676 79
8662 12

8201,261 43
 

$3,014 67
 

Deficit
 


 


 

Grand totals
Revenues
Expenses
 

$5,780,345 32
5,725,537 41

$54,807 91
 

85,579,083 89
5,255,057 55

8324,026 34
 

8470,479 86
 

Net revenue
 


 

$269,218 43
 

* 6 months to Jul
 

1912: transferred to Physical Property account
  1913: Page 33