Operating
Kowloon-Canton Railway
Account for the year ended 31st March, 1977
APPENDIX II
17,287,289
1975/76
18,092,404
31,519,452
140,502
35,520,195
Expenditure
1976/77
1975/76
Revenue
1976/77
Traffic Expenses
Fassenger Services
15,612,030
Traffic Running Expenses
4,489,145
4,402,458
Goods Services
Traffic Salaries and General
6,666,530
11,175,675
5,840,675
10,243,133
Workshop Services
15,848,346
59.076
Expenses
Maintenance
Kechanical
6,219,881
5,014,485
Way and structures
6,672,463
Rainstorm damage & other emergency repairs
12,892,344
69,442
5,247,084
10,261,569
116,568
Depreciation
Plant
Rolling Stock
Other
Gross Operating Profit C/F
92,807
1,831,239
764,299 2,688,345
89,966
1,832,544
_754,438
2,676,948
26,825,806
23,298,218
4.693,646
12,221,977
31,519,452
ERT DE DE DE DE DE
35,520,195
31,519,452
35,520,195
Revenue
1976/77
1975/76
♦
3
Gross Operating Profit B/F Rents and Incidental Revenue Proceeds of Sales of
4,693,646
12,221,977
3,319,127
3,090,406
Surplus Stores
1,016
424
Net Profit on disposal of
Fixed Assets
3,320,143
45,625
3,136,455
Profit & Loss Account for the year ended 31st March, 1977.
Expenditure
Administrative and General
Expenses and Salaries
1,269,129
Contribution in lieu of Rates and Duty
1,541,859
Rent
820,000
1976/77
1975/76
3
1,063,011
1,619,101
820,000
Net loss on disposal of Fixed Assets
243,401
Stores Charges
119,281
Net Profit C/F to Balance Sheet
3,993,670
4,020,119
116,032
3,618,144
11.740.288
8,013,789
15,358,432
=*==JA JA JE 23
HE HAS SURE THAT SHE 12 DA SU DA SE
8,013,789
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15,358,432
LA SE DÁN HÀ TR 200 VAN DE HAD TO