THECUBAREVIEW 19 



TRAFFIC RECEIPTS OF CUBAN RAILROADS 



EARNINGS OF THE CUBA RAILROAD COMPANY 



The report of the Cuba liaih'oad for the month of February and for eii^ht months endeJ February 28th com" 

 pares as follows: 



1917 191t) 191.') 1914 1913 1912 1911 



February Ki-os^- $39.5,030 $721,363 $.522,.586 $488,121 $46.5,147 $367,375 $31.5,921 



Expenses. . 362,698 298,287 234,742 239,121 235,673 183,097 166,647 



February net $32,931 $423,075 $287,843 $249,000 $229,473 $183,468 $149,273 



Other Income 945 



Net income 33,877 423,075 287,843 



Charges 94,7.58 88,241 72,308 66,791 66,791 65,125 59,625 



Surplus for month ...December 60,880 334,833 215,535 182,208 162,681 118,343 89,648 



Eight months gross 4,.331,925 3,953,142 3,073,936 3,1.39,875 2,874,421 2,318,512 1,893,640 



Net earnings 1,224,445 1,933,8.56 1,472,173 1,468,384 1,-304,675 1,060,035 818,.369 



Other income 8,528 6,097 



Fixed charges 728,744 628,111 564,622 534,333 .534,0.55 491,000 .3.39,2.50 



Eight months surplus $.504,230 $1,311,843 $907,551 $934,051 $770,620 $569,035 $479,119 



EARNINGS OF THE UNITED RAILWAYS OF HAVANA 



Weekh/ Receipts: 1917 



March ending March 24th £65,.529 



Week ending March 31st 66,579 



Week ending April 7th .59,571 



Week ending April 14th 56,142 



EARNINGS OF THE CUBAN CENTRAL RAILWAYS 



Weekly Receipts: 1917 1916 



Week ending March 31st £31,365 £29,171 



Week end'ng April 7th 30,782 27,861 



Week ending April 14th 26,.525 27,737 



Week ending April 21st 28,041 24,643 



EARNINGS OF THE WESTERN RAILWAY OF HAVANA 



Weekly Receipts: 



Week ending Mtrch 31st 



Week end'ng April 7th 



Week ending April 14th 



Week ending April 21st 



EARNINGS OF THE HAVANA ELECTRIC RAILWAY LIGHT & POWER CO. 



Month of March: 1917 1916 1915 



Gross earnings $.545,397 $470,616 $472,185 



Operating expenses 237,386 196,706 195,880 



Net earnings $308,011 $273,910 $276,305 



Miscellaneous income 21,295 19,200 7,906 



Total net income $329,306 $293,110 $284,211 



Surplus after deducting fixed charges 193,248 162,601 175,606 



3 months to March 31: 



Gross earnings $1,597,210 $1,452,233 $1,390,314 



Operating expenses 678,202 560,7.57 561,299 



Net earnings $919,008 $891,476 $829,015 



Miscellaneous income 35,751 33,497 23,369 



Total net income $954,7.59 $924,973 $8.52,384 



Surplus after deducting fixed charges 551,949 5.59,996 526,601 



