22 



THE CUBA REVIEW 



TRAFFIC RECEIPTS OF CUBAN RAILROADS 



EARNINGS OF THE CUBA RAILROAD COMPANY. 



The report of the Cuba Railroad for the month of May and for eleven months 

 ended May 31st, 1919, compares as follows: 



1919 litis 1917 1916 1915 1914 1913 



Mavross $1,282,646 $1,186,421 $562,968 $681,003 $540,877 $462,000 $447,127 



Expenses..'.' 846,406 726,083 413,830 332,317 207,919 240,788 208,436 



May net 436,239 460,327 149,138 348,685 332,957 221,212 238,690 



Other income 8,372 19,551 994 



Net income 444,011 479,888 150,132 348,685 332,957 



Charges 94,725 104,887 94,352 87,554 72,308 71,5(5(5 66,791 



Other interest digs.. 8,615 ''AA 



May surplus 341,271 375,001 55,780 261,131 2(50,649 149,(54(5 171,898 



Eleven months grossll, 138,767 10,582,079 5,645,586 6,211,584 4,749,143 4,732,487 4,232,939 



Net profit.... .... 2,910,743 3,484,732 1,552,982 3,199,617 2,469,791 2,293,970 1,996,174 



Other income 150,416 32,506 11,195 6,108 



Fixed charges 1,043,841 1,163,052 1,012,613 890,773 781,547 749,041 734,430 



Other interest chgs. 124,184 



Eleven mos. surplus.$l,893,134 $2,354,186 $551,565 $2,314,95:; $1,688,244 $1,544,928 $1,261,744 



EARNINGS OF THE UNITED RAILWAYS OF HAVANA. 



Weekly Receipts : 1919 1918 1917 1916 1915 1914 1913 



Week ending June 1st ^"64,220 /49,2:iS ^35,498 ^"30,020 /'2:;,919 ^20,107 /,'20,035 



Week ending June 28th 69,851 48,246 40,948 31,257 23,839 19,010 19,741 



Week ending July 5th 57,304 48,520 3(5,829 29,550 2:!, 725 20,489 19,703 



Weekending July 12th 56,952 47,831 35,686 30,1(50 23,802 20,922 19,343 



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



'Month of May : 1919 1918 1917 1916 1915 



Gross earnings $740,304 $085,731 $5(54,237 $498,275 $478,732 



Operating expenses 352,676 312,501 252,894 185,034 193,138 



Net earnings 387,628 373,230 311 ,343 312,(541 285,594 



Miscellaneous income 19,434 9,656 6,361 9,130 4,937 



Total net income 407,062 382,886 317,704 321,777 290,531 



Surplus after deducting fixed charges.. 248,411 221,011 153,818 191,271 177,798 



5 Months to 3 fay j/sf : 



Gross earnings 3,576,816 3, 25:;, 207 2.090,000 2,417,062 2,303,205 



Operating expenses 1,770,177 1,481,702 1,101,292 9.'!4,014 942,597 



Net earnings 1,800,639 1.771,505 1,534,768 1,483,048 1.3(50,608 



Miscellaneous income 52,374 63,357 53,987 55,810 39,010 



Total net income $1 ,853,013 $1 ,834,922 $1 ,588,755 $1,538,858 $1 ,400,218 



Surplus after deducting fixed charges 1,078,558 1,028,695 771,686 912,911 853,04(5 



