AnnualReport-1916 — Page 510

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1915,

Per cent. on

Gross Receipts.

Revenue Account for the Year ending 31st December, 1916.

Expenditure.

Amount 1916.

Gross Receipts.

Per cent. on

1915.

Earnings.

Amount 1916.

Total.

$

Main Line.

$

To Maintenance of Way and Works,

35,834.51

9.78

130,184.01 37.87

52.00

57,840.08 16.82 45,006.00 13.09

Loco, Carriage and Wagon Expenses,

114,360.34 By Coaching Traffic..........

8,051.57 Goods 6,682.92 Sundry 19

119,867.26 7,706.81 14,225.34

155,316.76 42.41

141,799.41

Traffic Expenses,

General Charges,

52,581.25 14.36 129,094.83

42,336.03 11.56

Foreign.

Special & Miscellaneous Expenditure,

94.00 0.03 193,741.47 By Coaching Traffic.

192,858.29

18,407.50

Branch Line,

2,828.42 0.82 To Maintenance of Way and Works,

6,380.14 1.86 Loco, Carriage and Wagon

13,665.73 215.00

Goods Sundry

2,175.25

213,441.04

207,622.20

2,695.28 0.74

Branch Line.

Expenses,

6,178.74 1.69

1,310.00 0.38

Traffic Expenses,

1,655.06 0.45

6,593.09 458.96 By Coaching Traffic.

General Charges,

Goods Sundry

10,327.57 647.65

Special & Miscellaneous Expenditure,

10,975.22

7,052.05

$297,265.97) 86.47

46,503.11 13.53 Balance (Net Earnings),

$343,769.08 100.00

J. MORRIS,

Chief Accountant.

Kowloon, April 20th, 1917.

$296,691.63 81.02

69,524.04 18.98

$366,215.67 100.00 343,769.08

$ 366,215.67

H. P. WINSLOW,

Manager.

Page 510

Page 511

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1915, Per cent. on Gross Receipts. Revenue Account for the Year ending 31st December, 1916. Expenditure. Amount 1916. Gross Receipts. Per cent. on 1915. Earnings. Amount 1916. Total. $ Main Line. $ To Maintenance of Way and Works, 35,834.51 9.78 130,184.01 37.87 52.00 57,840.08 16.82 45,006.00 13.09 Loco, Carriage and Wagon Expenses, 114,360.34 By Coaching Traffic.......... 8,051.57 Goods 6,682.92 Sundry 19 119,867.26 7,706.81 14,225.34 155,316.76 42.41 141,799.41 Traffic Expenses, General Charges, 52,581.25 14.36 129,094.83 42,336.03 11.56 Foreign. Special & Miscellaneous Expenditure, 94.00 0.03 193,741.47 By Coaching Traffic. 192,858.29 18,407.50 Branch Line, 2,828.42 0.82 To Maintenance of Way and Works, 6,380.14 1.86 Loco, Carriage and Wagon 13,665.73 215.00 Goods Sundry 2,175.25 213,441.04 207,622.20 2,695.28 0.74 Branch Line. Expenses, 6,178.74 1.69 1,310.00 0.38 Traffic Expenses, 1,655.06 0.45 6,593.09 458.96 By Coaching Traffic. General Charges, Goods Sundry 10,327.57 647.65 Special & Miscellaneous Expenditure, 10,975.22 7,052.05 $297,265.97) 86.47 46,503.11 13.53 Balance (Net Earnings), $343,769.08 100.00 J. MORRIS, Chief Accountant. Kowloon, April 20th, 1917. $296,691.63 81.02 69,524.04 18.98 $366,215.67 100.00 343,769.08 $ 366,215.67 H. P. WINSLOW, Manager. Page 510 Page 511
Baseline (Original)
1915, Per cent. on Gross Receipts. Revenue Account for the Year ending 31st December, 1916. Expenditure. Amount 1916. Gross Receipts. Per cent. on 1915. Earnings. Amount 1916. Total. $ e. a % Main Line. $ c. སྙ. $ C. Local. €f C. $ CA C. 53,665.32 15.61 To Maintenance of Way and Works, 35,834,51 9.78 "1 130,184.01 37.87 " 52.00 57,840.08 16.82 45,006.00 13.09 .02 Loco, Carriage and Wagon Expenses, 114,360.34 By Coaching Traffic.......... 8,051,57 Goods 6,682.92 Sundry 19 |119,867.26 7,706.81 14,225.34 155,316,7642.41 141,799.41 Traffic Expenses, >> General Charges, 52,581,25 14.36 129,094.83 42,336,03 11.56 Foreign. Special & Miscellaneous Ex- penditure, 94.00 03 193,741.47 By Coaching Traffic. ¡192,858.29 18,407.50 "} Branch Line, 2,828.42 .82 To Maintenance of Way and Works, 6,380.14 1.86 Loco, Carriage and Wagon 13,665.73 215.00 "} Goods Sundry "" 2,175.25 "J JF 213,441.04 |207,622.20 2,695.28 .74 Branch Line. Expenses, 6,178.74 1.69 1,310.00 .38 "" Traffic Expenses,. 1,655.06 .45 6,593.09 458.96 By Coaching Traffic. 33 General Charges,. Goods Sundry 10,327.57 647.65 Special & Miscellaneous Ex- penditure, 10,975,22 7,052.05 "} $297,265.97) 86.47 46,503.11 13,53 Balance (Net Earnings), $343,769.08 100.00 J. MORRIS, Chief Accountant. Kowloon, April 20th, 1917. $296,691.63 81.02 69,524.0418.98 $366,215,67 100.00 343,769.08 $ 366,215.67 H. P. WINSLOW, Manager. S 9 Page 510Page 511
2026-05-06 15:00:15 · Baseline
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1915,

Per cent. on

Gross Receipts.

Revenue Account for the Year ending 31st December, 1916.

Expenditure.

Amount 1916.

Gross Receipts.

Per cent. on

1915.

Earnings.

Amount 1916.

Total.

$

e.

a

%

Main Line.

$

c.

སྙ.

$ C.

Local.

€f

C. $

CA

C.

53,665.32 15.61

To Maintenance

of Way and

Works,

35,834,51

9.78

"1

130,184.01 37.87

"

52.00

57,840.08 16.82 45,006.00 13.09

.02

Loco, Carriage and Wagon

Expenses,

114,360.34 By Coaching Traffic..........

8,051,57 Goods 6,682.92

Sundry

19

|119,867.26 7,706.81 14,225.34

155,316,7642.41

141,799.41

Traffic Expenses,

>>

General Charges,

52,581,25 14.36 129,094.83 42,336,03 11.56

Foreign.

Special & Miscellaneous Ex-

penditure,

94.00 03 193,741.47 By Coaching Traffic.

¡192,858.29

18,407.50

"}

Branch Line,

2,828.42 .82 To Maintenance of Way and

Works,

6,380.14 1.86 Loco, Carriage and Wagon

13,665.73 215.00

"}

Goods Sundry

""

2,175.25

"J

JF

213,441.04

|207,622.20

2,695.28 .74

Branch Line.

Expenses,

6,178.74 1.69

1,310.00 .38

""

Traffic Expenses,.

1,655.06 .45

6,593.09 458.96

By Coaching Traffic.

33

General Charges,.

Goods Sundry

10,327.57 647.65

Special & Miscellaneous Ex-

penditure,

10,975,22

7,052.05

"}

$297,265.97) 86.47

46,503.11 13,53 Balance (Net Earnings),

$343,769.08 100.00

J. MORRIS,

Chief Accountant.

Kowloon, April 20th, 1917.

$296,691.63 81.02

69,524.0418.98

$366,215,67 100.00 343,769.08

$ 366,215.67

H. P. WINSLOW,

Manager.

S 9

Page 510Page 511

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