Annual statistical report

(New York, N.Y. :  The Company,  )

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39
 

EXPENDITURES IN 1948 FOR ADDITIONS AND BETTERMENTS
ON OWNED PROPERTY
 

Engineering

Land for transportation purposes

Grading

Bridges, trestles, and culverts

Elevated structures

Ties

Rails

Other track material

Ballast

Track laying and surfacing

Fences, snowsheds, and signs

Station and office buildings

Roadway buildings

Water stations

Fuel stations

Shops and enginehouses

Grain elevators

Coal and ore wharves

Telegraph and telephone hnes

Signals and interlockers

Power plants

Power-trans mission systems

Miscellaneous structures

Roadway machines

Roadway small tools

Public improvements—Construction        '

Shop machinery

Power-plant machinery

Unapphed construction material and supplies

General officers and clerks

Law

Stationerv and printing

Interest during construction
Other expenses—General
 

EXPENDITURES
 

RETIREMENTS
 

NET DEBIT
 

$455,552 90
 

$70,536   15
 

$385,016 75
 

220,760 45
 

211,553 39
 

9,207 06
 

1,774,494 80
 

99,544 80
 

1,674,950 00
 

1,026,208 72
 

82,739 63
 

943,469 09
 

8,403 36*
 

—
 

8,403 36*
 

390,293 13
 

82,788 18
 

307,504 95
 

359,421 92
 

87,472 18
 

271,949 74
 

772,273 03
 

53,485 10
 

718,787 93
 

150,520 12
 

32,917 50
 

117,602 62
 

572,825 90
 

55,964 84
 

516,861 06
 

9,517 04
 

64,171 17
 

54,654 13*
 

1,689,736 81
 

411,415 66
 

1,278,321  15
 

41,697 86
 

37,715 70
 

3,982 16
 

296,257 27
 

67,573 11
 

228,684 16
 

644,861 48
 

16,311 73
 

628,549 75
 

669,879 44
 

84,371 50
 

585,507 94
 

1,830 48
 

—
 

1,830 48
 

12,907 26
 

2,343 00
 

10,564 26
 

383,459 91
 

8,371 54
 

375,088 37
 

1,115,864 28
 

206,933 14
 

908,931  14
 

34,090 59
 

—
 

34,090 59
 

661,650 34
 

27,198 52
 

634,451 82
 

1,651 95
 

2,413 69
 

761 74'
 

391,051 82
 

248,033 71
 

143,018 11
 

—
 

3,870 00
 

3,870 00»
 

293,059 33
 

27,610 70
 

265,448 63
 

959,571 27
 

283,874 95
 

675,696 32
 

445,644 20
 

40,424 03
 

405,220 17
 

1,864 26
 

—
 

1,864 26
 

—
 

977 94
 

977 94«
 

—
 

596 31
 

596 31*
 

—
 

71 56
 

71 56*
 

—
 

333 93
 

333 93*
 

36,951  13*
 

94,923 04
 

131,874 17*
 

—
 

224 67
 

224 67'
 

$13,331,592 07
 

$2,406,761 37
 

$10,924,830 70
 

Interest during construction—book adjustment
Donations and grants—book adjustment
 

$2,053,870 04
7,688,543 22*
 

TOTAL ROAD
 

EQUIPMENTt

Steam locomotives
Other locomotives
Freight-train cars
P.assenger-train cars
Fioating equipment
Work equipment
Miscellaneous equipment
 

$182,013 60

20,991,787 86

23,868,852 49

19,615,463 60

179,780 53

1,104,907 39

398,796 37

TOTAL                                                                                    $66,341,601 84

NET INCREASE FOR THE YEAR

Investment in road and equipment as of December 31, 1947

TOTAL AS OF DECEMBER 31, 1948
 

$4,754,716 58

2,982,224 76

1,655,144 75

108,290 24

654,235 32

64,065 81
 

$4,572,702 98*

20,991,787 86

20,886,627 73

17,960,318 85

71,490 29

450,672 07

334,730 56

$56,122,924 38

$61,413,081 90
1,227,567,620 12

$1,288,980,702 02
 

* Credit.

t Including trust equipment.
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