KOWLOON-CANTON RAILWAY
OPERATING ACCOUNT-YEAR ENDED 31ST MARCH, 1973
APPENDIX II
1972-73
1971-72
Revenue
1972-73
$
1971-72
$
2,444,435
1,767,531
Passenger Services
10,332,574
3,966,139 6,410,574
2,897,243 4,664,774||Goods Services
10,225,736
9,276,804
8,867,806
3,543,842
3,899,853 7,443,695
2,972,404 3,906,736 6,879,140
Workshop Services
127,030| 20,685,340] 114,441| 18,259,051
351,229
225,940
86,808
1,540,820
85,914
1,551,820
720,301 2,347,929 679,752
2,317,486||
16,553,427
14,087,340
4,131,913
20,685,340
4,171,711|
18,259,051)
20,685,340
18,259,051
Expenditure
Traffic Expenses
Traffic Running Expenses
Traffic Salaries and General Expenses
Maintenance
Mechanical
Way and Structures
Rainstorm Damage
PROFIT & LOSS ACCOUNT-YEAR ENDED 31ST MARCH, 1973
Expenditure
1972-73
1971-72
Revenue
1972-73
1971-72
$
S
$
$
$
$
$
$
Administrative and
General Expenses and
Salaries
640,871
488,526
Gross Operating Profit
4,131,913)
4,171,711
Loss on disposal of Fixed Assets
115,817
179,717
Contribution in lieu of
Rents and Incidental Revenue
1,121,776
1,046,587
Rates and Duty
1,241,966
1,166,792
Rent
820,000
820,000
Proceeds of Sales of
Stores Charges
61,585
70,265
Surplus Stores
456
1,122,232
439 1,047,026
Payment for damage to
other Railways' rolling stock, etc.
19,095 2,899,334|
3,294
2,728,594
Nett Profit C/Fwd, to
Balance Sheet
2,354,811
2,490,143||
5,254,145
5,218,737
5,254,145
5,218,737
Depreciation
Plant
Rolling Stock Other
Gross Operating Profit C/F
16