AnnualReport-1929 — Page 674

Administrative Reports 行政報告書 All AI Reviewed

S 24

DETAILS OF THE ACCUMULATED DEFICIT FROM COMMENCEMENT OF OPERATIONS TO END OF 1929 $7,358,179.58.

Income Account in the Annual Reports.

Year. Transport of Passengers, Goods and Rent on Rolling Stock Net Earnings. Loss on Working Interest debits on Wu Chang Loan, Crown Agents Advances and armed robbery. Loss by Various items not included in previous years (Debit). Portion of Special Expenditure from 1917 previous to 1924 chargeable to revenue. Special Expenditure. Various items not included in previous years, (Credit). Depreciation of Railway Loss on property retired excluding Rolling Stock. Pensions paid prior to 1926. Deficits. 1910 832.66 1911 24,845.14 1912 34,298.24 1913 87,824.74 1914 90,241.93 1915 46,503.11 1916 69,524.04 1917 90,814.98 1918 77,053.36 1919 73,060.63 1920 33,032.06 1921 75,989.71 1922 148,151.40 1923 48,791.35 1924 87,628.27 4,715,589.76 827,326.86 161,264.76 4,715,589.76 + 1925 99,323.18 417,191.43 1,703.61 139,827.11 213,115.84 47,081.34 1926 101,743.07 453,898.92 1927 2,344.56 492,298.41 1928 20,040.73 489,571.04 8,987.44 10,710.06 11,483.65 11,394.57 617,132.32 695.33 1,162,759.58 1929 847,367.59 364,675.57 138,767.19 6,568,549.56 1,703.61 139,827.11 496,817.79 213,115.84 Total 986,134.78 364,675.57 7,065,367.35 1,703.61 139,827.11 213,115.84 (1) 9,549.36 467,685.10 695.33 6,978,224.05 379,955.53 695.33 7,358,179.58 47,081.34 42,575.72 617,132.32 10,299.30 9,549.36 (2) 32,204.23 47,081.34 52,875.02 617,132.32 41,753.59

(1) Difference between original cost and scrap value of 437 telephone poles transferred to P.W.D. in 1928. (2) Represents the difference between original cost and estimated value of rails and fastenings and various expenditure items written off in connection with closing of the Fanling Branch Line account authorised in C.8,0. 1114/16 See statement of sales summary of allocation.

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S 24 DETAILS OF THE ACCUMULATED DEFICIT FROM COMMENCEMENT OF OPERATIONS TO END OF 1929 $7,358,179.58. Income Account in the Annual Reports. Year. Transport of Passengers, Goods and Rent on Rolling Stock Net Earnings. Loss on Working Interest debits on Wu Chang Loan, Crown Agents Advances and armed robbery. Loss by Various items not included in previous years (Debit). Portion of Special Expenditure from 1917 previous to 1924 chargeable to revenue. Special Expenditure. Various items not included in previous years, (Credit). Depreciation of Railway Loss on property retired excluding Rolling Stock. Pensions paid prior to 1926. Deficits. 1910 832.66 1911 24,845.14 1912 34,298.24 1913 87,824.74 1914 90,241.93 1915 46,503.11 1916 69,524.04 1917 90,814.98 1918 77,053.36 1919 73,060.63 1920 33,032.06 1921 75,989.71 1922 148,151.40 1923 48,791.35 1924 87,628.27 4,715,589.76 827,326.86 161,264.76 4,715,589.76 + 1925 99,323.18 417,191.43 1,703.61 139,827.11 213,115.84 47,081.34 1926 101,743.07 453,898.92 1927 2,344.56 492,298.41 1928 20,040.73 489,571.04 8,987.44 10,710.06 11,483.65 11,394.57 617,132.32 695.33 1,162,759.58 1929 847,367.59 364,675.57 138,767.19 6,568,549.56 1,703.61 139,827.11 496,817.79 213,115.84 Total 986,134.78 364,675.57 7,065,367.35 1,703.61 139,827.11 213,115.84 (1) 9,549.36 467,685.10 695.33 6,978,224.05 379,955.53 695.33 7,358,179.58 47,081.34 42,575.72 617,132.32 10,299.30 9,549.36 (2) 32,204.23 47,081.34 52,875.02 617,132.32 41,753.59 (1) Difference between original cost and scrap value of 437 telephone poles transferred to P.W.D. in 1928. (2) Represents the difference between original cost and estimated value of rails and fastenings and various expenditure items written off in connection with closing of the Fanling Branch Line account authorised in C.8,0. 1114/16 See statement of sales summary of allocation.
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S 24 DETAILS OF THE ACCUMULATED DEFICIT FROM COMMENCEMENT OF OPERATIONS TO END OF 1929 $7,358,179.58. Income Account in the Annual Reports. Transport of Year. Net Earnings. Loss on Working Interest debits on Wu Chang Loan, Crown Loss by Various items not Agents Advances and armed included in Portion of Special Expenditure from 1917 Government Various items not included in Passengers, Depreciation of Railway robbery. previous to 1924 previous Special Ex- years (Debit). chargeable penditure. to revenue. years, (Credit). Goods and Rent on Rolling Quarters for the year from to 1926 (Debit). Loss on pro Stock prior perty retired excluding Rolling Stock. Pensions paid prior to 1926. Deficits. 1925 (Credit). 1910 832.66 1911 24,845.14 1912 34,298.24 1913 87,824.74 1914 90,241.93 1915 46,503.11 1916 69,524.04 1917 90,814.98 1918 77,053.36 1919 73,060.63 1920 33,032.06 1921 75,989.71 1922 148,151.40 1923 48,791,35 1924 87,628.27 4,715,589.76 827,326.86 161,264.76 4,715,589.76 + 1925 99,323.18 417,191.43 1,703.61 139,827.11 213,115.84 47,081.34 1926 101,743.07 453,898.92 1927 2,344.56 492,298.41 1928 20,040.73 489,571.04 8,987.44 10,710.06 11,483.65 11,394.57 617,132,32 695.33 1,162,759.58 4,049,527.66 815,092.39 483,159.32 (1) 9,549.36 467,685.10 1929 847,367.59 364,675,57 138,767.19 6,568,549.56 1,703.61 139,827.11 496.817,79 213,115.84 1 Total,... 986,134.78 364,675.57 7,065,367,35 1,703.61 139,827.11 213,115.84 (1) Difference between original cost and scrap value of 437 telephone poles transferred to P.W.D. in 1928. (2) Represents the difference between original cost and estimated value of rails and fastenings and various expenditure items written off in connection with closing of the Fanling Branch Line account authorised in C.8,0. 1114/16 See statement of sales summary of allocation. 695.33 6,978,224.05 379,955.53 695.33 7,358,179.58 47,081.34 42,575.72 617,132.32 10,299.30 9,549.36 (2) 32,204.23 47,081.34 52,875.02 617,132.32 41,753.59
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S 24

DETAILS OF THE ACCUMULATED DEFICIT FROM COMMENCEMENT OF OPERATIONS TO END OF 1929 $7,358,179.58.

Income Account in the Annual Reports.

Transport of

Year.

Net Earnings.

Loss on Working

Interest debits on Wu Chang Loan, Crown

Loss by

Various items not

Agents Advances and

armed

included in

Portion of Special Expenditure from 1917

Government

Various items not included in

Passengers,

Depreciation

of Railway

robbery.

previous

to 1924

previous

Special Ex-

years (Debit). chargeable

penditure.

to revenue.

years, (Credit).

Goods and Rent on Rolling

Quarters for the year from

to 1926 (Debit).

Loss on pro

Stock prior

perty retired excluding Rolling Stock.

Pensions paid prior to 1926.

Deficits.

1925 (Credit).

1910

832.66

1911

24,845.14

1912

34,298.24

1913

87,824.74

1914

90,241.93

1915

46,503.11

1916

69,524.04

1917

90,814.98

1918

77,053.36

1919

73,060.63

1920

33,032.06

1921

75,989.71

1922

148,151.40

1923

48,791,35

1924

87,628.27

4,715,589.76

827,326.86

161,264.76

4,715,589.76

+

1925

99,323.18

417,191.43 1,703.61 139,827.11

213,115.84

47,081.34

1926

101,743.07

453,898.92

1927

2,344.56

492,298.41

1928

20,040.73

489,571.04

8,987.44 10,710.06 11,483.65 11,394.57

617,132,32

695.33 1,162,759.58

4,049,527.66 815,092.39

483,159.32

(1) 9,549.36

467,685.10

1929

847,367.59 364,675,57 138,767.19

6,568,549.56 1,703.61 139,827.11

496.817,79

213,115.84

1

Total,... 986,134.78

364,675.57

7,065,367,35

1,703.61

139,827.11

213,115.84

(1) Difference between original cost and scrap value of 437 telephone poles transferred to P.W.D. in 1928. (2) Represents the difference between original cost and estimated value of rails and fastenings and various expenditure items written off in connection with closing of

the Fanling Branch Line account authorised in C.8,0. 1114/16 See statement of sales summary of allocation.

695.33 6,978,224.05 379,955.53

695.33 7,358,179.58

47,081.34

42,575.72 617,132.32 10,299.30

9,549.36

(2) 32,204.23

47,081.34

52,875.02 617,132.32

41,753.59

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