20 THECUBAREVIEW 



TRAFFIC RECEIPTS OF CUBAN RAILROADS 



EARNINGS OF THE CUBA RAILROAD COMPANY 



The report of the Cuba Railroad for the month of February and for eight months ended February 28th com- 

 {iares as follows: 



1918 1917 1916 1915 1914 1913 1912 



February gross $1,164,564 $395,630 $721,363 $522, 586 $488,121 $465,147 $367,375 



Expenses 712,767 362,698 298,287 234,742 239,121 235,673 183,097 



Febru^ynet $451,796 $32,931 $423,075 $287,843 $249,000 $229,473 $183,468 



Other income 1,237 945 



Netincome 453,034 33,877 423,075 287,843 



Charges 105,004 94,758 88,241 72,308 66,791 66,791 65,125 



Surplus for month of December.. 348,030 60,880 334,833 215,535 182,208 162,681 118,343 



Eight months gross 6,947,914 4,331,925 3,953, 142 3,073,936 3,139,875 2,874,421 2,318,512 



Neteamijigs 2,042,241 1,224,445 1,933,856 1,472,173 1,468,384 1,304,675 1,060,035 



Otherinaome 10,779 8,528 6,097 



Fixed charges 84j6,193 728,744 628,111 564,622 534,333 53'4,055 491,000 



Eight months surplus $1,206,827 $504,230 $1,311,843 $907, 551 $934,,,051 $770,620 $569,035 



EARNINGS OF THE UNITED RAILWAYS OF HAVANA 



Weekly receipts: 1918 1917 1916 1915 1914 1913 1912 



Week ending February 23d £91,119 £56,593 £61,003 £50,108 £47,148 £49,056 £42,081 



Week ending March 2d 92,742 60,733 60,829 53,165 51,244 51,001 43,740 



Week ending March 9th 93,236 61,623 59,977 52,308 51,055 50,093 41,216 



Week ending March 16th 93,769 62,463 61,089 52,073 48,749 48,058 43,604 



Week ending March 23d 88,932 65,529 65,134 48,399 52,260 46,120 44,788 



Week ending March 30th 88,002 66,579 60,792 49,685 51,754 50,221 40,393 



Week ending April 6th 84,493 59,571 58,810 46,042 39,836 50,454 39,276 



Week ending April 13th 83,075 56,142 57,904 55,668 35,023 48,337 43,440 



EARNINGS OF THE HAVANA ELECTRIC RAILWAY, LIGHT & POWER CO. 



■ Month of February: 1918 1917 1916 1915 



Gross earnings $617,071 $504,325 $489,543 $444,404 



Operating expenses 279,333 210,852 177,766 175,928 



Net earnings 337,738 293,473 311,777 268,476 



Miscellaneous income 10,106 8,088 4,502 10,374 



Total net income ' 347,844 301,561 316,279 278,850 



Surplus after deducting fixed charges 218,655 131,970 197,204 170,161 



2 months to February 28th: 



Gross earnings $1,262,081 $1,051,813 $981,617 $918,128 



Operating expenses 561,634 440,816 364,051 365,419 



Net earnings 700,447 610,997 617,566 552,709 



Miscellaneous income 18,953 14,456 14,297 15,463 



Total net income $719,400 $625,453 $631,863 $568,172 



Suri)lus after deducting fixed charges 462,193 303,448 397,396 350,995 



