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section of the

Copyrighted in 1913 according to Act of Congrett, by WILLIAM B. DANA COMPANY, in office of Librarian of Congrew, Warbington. D. C.

york, september 20, 1913

WILLIAM B. DANA COMPANY, Publishers,
'•

;

CHfedNicLE Btrttbmo




^ v,-.'.. new york
,

.

'■

.

,

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Feont, Pine & Depeystee Streets

Wol.

RAILWAY EARNINGS

2

xera.

GENERAL INDEX
TO ROADS APPEARING IN THIS SECTION
Pate.

Name.

15

A bllene, & Southern
A Vicksburg.

Alabama

See Ala NO&TP Jet—15
Alabama Great Southern.
See Southern., 12 and 32
Alabama New Orleans A Texas Pacific Junction..15
Alabama Tennessee A Northern
-15
Aliquippa A Southern————————.15
Ann Arbor.........................—u—.—15
Appalachicola Northern
—
—.—...-.-15
Arizona A New Mexico—_—*.——15
Arizona Eastern.
See Southern Pacific.........13
Arkansas Central.
See Missouri Pacific-——-— 7
Arkansas Louisiana A Gulf——15
Ashland Coal A Iron—-.—.-.-15

Atchison A Eastern Bridge—.....—.———15
Atchison Topeka A Santa Fe——
-3 and 30
Atlanta A St Andrews Bay.
............lo
Atlanta A West Point...—
.16
Atlanta Birmingham A Atlantic
—.
-16
Atlantic A St Lawrence.
See Grand Trunk...— 7,
Atlantic City.
See Reading...—-*„...sinusi.ll
Atlantic Coast Line
—————————
3
Augusta Southern.
See Southern
-12

.

-

Dry

Page.

Name—
Fork..—

Duluth Miseabe A Northern.

See U S Steel—...14

Duluth Winnipeg A Paetfic..-----—.——19
Duluth South Shore A Atl.
See Can Pac..5 and 30
Dunkirk AlleghenyVall A Pitts, y See N Y Central 8

Durham A

Southern..........—...-.....--..-19

East Broad Top A Terminal Co—,———.19
——19
ast Jersey RR RR A Coal..——.
Louis Connecting
.19
East Tennessee A Western North Carolina—20

East

St

Eastern. Kentucky.——,---20
El Paso A Southwestern.—.—————20

See U S Steel..——14

Elgin Joliet A Eastern.

6.

Erie

Escanaba A Lake Superior—.—.20

—.—...32

Fair child Grain A Shipping.
armers' A Northeastern

—
See Great North...20
.. .—*——20
See Crip Creek Cent.. 18

Fernwood A Gulf................
Florence A

Cripple Creek,

Name—
Page.
Mineral Point A Northern
....
—23
Mineral Range.
See Canadian Pacific....5 and 31
Minneapolis A Rainy River
—
....—,—23
Minneapolis A St Louis....
........*.23 and 31
Minneapolis St P A 8 S M.
See Can Pac...5 and 31
Minnesota A International.
See Northern Pac—25
Mississippi -Central..—........23 and 31
Mississippi River A Bonne Terre...............23
Missouri A Louisiana——————24
,

19

—

Duluth A Iron Range. See United States Steel—..14
Duluth A Northern[Minnesota—*-*-———— 19
,

Missouri A North Arkansas
24
Missouri Kansas A Texas System.......
24 and 31
Missouri Oklahoma A Gulf—
————.24
Missouri Oklahoma A Gulf of Texas.—.—.24
Missouri Pacific—*———.—c—.7 and 31
Missouri Southern
24
Mobile A Ohio.
See Southern——.* .. ..13 and 32
.......

-

Monongahela.
See Pennsylvania9
Monongahela Connecting...———24
Montana Wyoming & Southern
..........24
Montour......

——24

Montpelier A Wells River
——24
Morgan's La A Tex RR A SS Co.
See Sou Pac... 13
Mumsing Marquette A Southeastern............24

Florida East Coast—...———————,——20

altimore A Ohio.—————4and
4
Baltimore A Ohio Chic Term* See Bait A Ohio. 32

See Pennsylvania. 9
See Penn—-9 and 31

Baltimore A Sparrow's Point.
Baltimore Chesap A Atlantic.

Bangor A Aroostook
————*—16and 30
Beaumont Sour Lake A W.
See St L A San Fran. 12
Bellefonte Central
—30

Bellingham A Northern.
See Chic Mil A St P.— 5
Belt Railway of Chicago—;
16
Benwood A Wheeling Connecting—-—16
Bessemer A Lake Erie.,
See United States Steel—14
Bingham A Garfield-——————————16
Birmingham Southern-—

BloomsDurgA Sullivan——
—16
Blue Ridge.
See Southern*———--—-—-——12
Boca A Loyalton.
See Denver A Rio Grande— 6

Maine—4
Boyne City Gaylord A Alpena————16
Brinson.-.--—-------i--—..—16
Buffalo A Susquehanna Railroad——-———-16
Buffalo A Susquehanna Railway——16
Buffalo Rochester A Pittsburgh.———.16 and 30
Bullfrog-Goldfield.
See Tonopah A Tidewater...28
Butler County—.-——
——16
Boston A

....—

Butte Anaconda A

Pacific—————————16

.——16

Butte County.——————

Cambria A Indiana———
—————16
anadian Pacific Lines in United States.—...— 5
5
—16
Carolina Clinchfield A Ohio..16
Carolina Clinch AO of S C.
See Car Clinch A 0.16
Catasauqua A Foglesville.
See Reading-...
11
Central Indiana.
See Pennsylvania—
10
Central New England.
See N YN H A H
9
Central of Georgia..
.—.———17
Central RR of New Jersey.
See Reading. .11 and 30
Central Vermont.
See Grand Trunk—,——— 7
Central West Virginia A SouilMwn—————17
Charleston A West Carolina.*
See Atlantic Coast 4
Charleston Terminal.—
——————17
Charlotte Harbor A Northern—
——
17
Chattahoochee Valley———;—
——17
Chesapeake A Ohio Lines....
——17
Chester A Delaware River.
See Reading.——11
Chicago A Alton
———————-——17
Chicago A East 111. See St L A San Fran.12 and, 32
Chicago A Erie.
See Erie—*.*—... 6
Chicago A Illinois Midland.......——.
——17
Chicago A Illinois Western...————17
Chicago A North Western—..
—5 and 30
Chicago A Western Indiana ...—.......—---17
Chicago Burlington A Quincy.——.—————-17
Chic Det A Can Grand Trk Jet. See Grand Trunk 7
Chicago Great Western.——17 and 30
Chicago Indiana A South.
See N Y Cent—8 and 31
Canadian Pacific Lines (in Maine)——
Carolina A Northwestern——————

——

^

-

■

*

,

Chicago Indianapolis A Louisville.———17 and 32
Chicago Junction.17
Chicago Kalamazoo A Saginaw. See N Y Central. 8
Chicago Memphis A Gulf.
See Illinois Central—21
Chicago Milwaukee A Gary———.;—.........17

Chicago Milwaukee A St Paul—.————— 5
Chicago Peoria A St Louis RR————.......—17
Chicago River A Indiana
.—-————17
Chic Rock Isl A Gulf. See Rock Island—.26 and 32
Chicago Rock Island A Pacific. See Rock Island—26
See Ch A N W—5 and 30
Chicago Short Line...........—-----18
Chicago Terre Haute A Southeastern——— 18
Chicago West Pullman A Southern..—-.*———18
Cincinnati Georgetown A Portsmouth-—.-.—-—18
Cincinnati Hamilton A Dayton. See Bait A Ohio. 4
Cincinnati Lebanon A Northern. See Penn
—10
Cincinnati New Orleans A Texas Pacific.. 18 and 32
Cincinnati Northern., See N Y Central..—8 and 31
Cincinnati Saginaw A Mack. See Grand Trunk—. 7
Cleve Cin Chic A St Louis. See N Y Cent—8 and 31
Chic St P Minn A Omaha.

Coal A Coke

————

—18
————18

Colorado' A Southeastern.*—
Colorado A Southern
—————6 and 30
Wyoming
Colorado Midland—--.-18
Columbia A Puget Sound.——
—18
Columbia N ewberry A Laurens. See Atl Coast. — 4
Connecting Terminal.——.———
—?§
Coos Bay Roseburg A East By A Nav. See So Pac. 13
Copper Range—..——
:—————18
Cornwall.—-—.18
Colorado A

Cornwall A Lebanon.

See

Pennsylvania.—......_9

Corvallis A Eastern. See Southern Pacific—....13
Coudersport A Port Allegheny.
.
18
Cripple Creek Central-.—......——————18
Cumberland A Pennsylvania..———
-—.-18
Cumberland Valley. See Pennsylvania——9 and 31

Danville A Rock Island ASouthern
———,12
avenport Western. See Northwestern...--—18
Dayton A Union.*:...........................18
Delaware A Hudson...—————19 and 30
Delaware A Northern
......————————19

Delaware Lackawanna A Western...,—........19

Delray Connecting.————.——--—-19
Denver A Rio Grande———————6 and 30
Denver A Salt Lake
——.—19 and 32
Denver Laramie A Northwestern.———19
Des Moines Union-....-.-.---.-—-—.-—.—.19
Detroit A Charlevoix. See New York Central—— 8

Detroit A Mackinac....—.......—19 and 32
Detroit A Toledo Shore Line

:

—

19

Detroit Grand Haven A Milw. See Grand Trunk. 7
Detroit River Tunnel Co.......
..—19
Detroit Terminal
......——-——..19
Detroit Toledo A Ironton
.......19
Donora Southern. See United States Steel.......14




Johnstown A Gloversville
....20
Fort Smith A Western—
—
20
Fort Worth A Denver City,
See Colo A South... 6
Fort Worth A Rio Grande.
See St L A San Fran. .11
Fort Worth Belt.—————————20
Fonda

Gainesville Midland——.—....————20
allatin Valley.
See Chic Milw A St Paul
5
*

Galveston Harrish A San Antonio.
See Sou Pac.. 13
Galveston Houston & Henderson—20
Galveston Wharf.—.———————.—..20

•**...———.20
George's Creelc A Cumberland.
See West Md
29
Georgetown A Western...—.20
Georgia Railroad.
See Atlantic Coast.—.4 and 30
Georgia A Florida—.—.—————-———20
Georgia Florida A Alabama......
—.——20
Georgia* Northern..——.;————*——-_.__20
Georgia Southern A Florida.
See Southern
—12

Genesee A Wyoming........

Georgia Southwestern & Gulf.—...—.——-...20
GettysburgA Harrisburg.
See Reading....—..11
Grafton A Upton.
21
Grand Canyon.
See Atchison.....
———
3
Grand Rapids A Indiana.
See Penn
.10 and 32
—

Grand Trunk Lines in United States.
Grand Trunk Western.
See Grand Trunk

——.—

7
7

Great Northern—
———.20
Green Bay A Western......————————.21
See Del A Hudson

Greenwich A Johnsonville.

19

Gulf A Inter-State pf Texas.
See. Atchison— 3
Gulf A Sabine River...........
———...—21
Gulf A Ship Island——.—-.—......
——21
Gulf Colorado A Santa Fe.
See Atchison—...... 3
Gulf Line.... ..............................21

ftjashvllle Chatt A St Louis.

Atlantic Coast- 4

Ivatchez Columbia A Mobile.^................24
Nevada-California-Oregon
.24 and 31
Nevada County Narrow Gauge
.—24
Nevada Northern......................—...24
New Iberia A Northern.........—.—24
New Jersey A New York.
See Erie
.........
6
New Orleans A North Eastern.
See Alabama
New Orleans A Texas Pacific Junction..———15
New Orleans Great Northern........—.*—.*24
New Orleans Mobile A'Chlcago................24
New Orleans Natalbany A Natchez.
.—.—24
New Orleans Southern A Grand Isle..———..—24
New Orleans Texas A Mexico.
See St L A S F.—12

New
New
New
New

York A Pennsylvania.—

24

York Central A Hudson River
.8 and 31
York Chicago A St L.
See N Y Cent.8 and 31
York New Haven A Hartford——————— 9
N Y Ontario A West.
See N Y N H A H.:9 and 31
N Y Philadelphia A Norfolk.
See Penn.. 10 and 32

N Y

See Erie—6 and 31

Susquehanna A Western.

Newburgh A South Shore.
See U S Steel.——.14
Newport A Richford.
See Canadian Pacific
5
Norfolk A Portsmouth Belt Line..
25
Norfolk A Western...—.
——*.25 and' 31
Norfolk Southern..——.—.
—25
.....

North A South Carolina——*

Northampton A Bath:
Northeast Pennsylvania.

——.——25
25
See Reading*.**......11

—

Northern Alabama.
See Southern.
———.13
Northern Central.
See Pennsylvania——10 and 32
Pacific....*—
.......—25
Northwestern Pacific.........".—
...........25
Northwestern RR of South Caro.
See Atl Coast. 4
Northern

25

Norwood A St Lawrence...

Hannibal A Northeast.
arrixnan Connecting—

———————21

See Cin N O A Tex P—18
Hilo.——————
—.......29

Oahu River A Western———
hio Railway A Land Oo— —

Hoboken

Oklahoma Central

,

Manufacturers—;

—21

—

—21 and 32'

Hocking Valley————
Houston A

See Southern .Pacific.

Shrevejport.

13

Houston A Texas Central.

See Southern Pacific
13
Houston East A West Texas.
See Southern Pac_. 13
Huntingdon A Broad Top Mtn. RR. A Coed.
—21

Idaho ACentral.
llinois Washington Northern...
Illinois Northern
Illinois Southern
Illinois Terminal...

...... and.21
21
30

.—.—21
—21
.......21
See New York Central.—. 8
r

......

..........

Indiana Harbor Belt.
International A Great Northern.——————21
Ironton
.———
—21
Vamestown

Chautauqua A Lake Erie...

onesboro Lake City A Eastern;

Kahulul. Lake Shore A
.......
alamazoo

.—21
.21

...

———29

Chicago—————.21

Kanawha A Michigan——
..
—.22
Kansas City Clinton A Springfield——22

.........

..—*.29

i.
.—25
—*—25

Orange A Northwestern.
See St L A San Fran...12
Oregon Short Line.
See Union Pacific.
.14
Oregon-Washington RR A Nav,
See Union Pac. 14
Ouachita A Northwestern..—
—.—.—..25
.

Pacific A Idaho Northern.—

—.25

acific Coast——.....
.—————.31
Pacific Railway A Navigation......
——25

Paris A Great Northern.
See St L A San Fran...11
Paris A Mount Pleasant—
—........25
Pecos A Northern Texas.
See Atchison.—.—.. 3

Pennsylvania
Pennsylvania
Pennsylvania
Pennsylvania
Pennsylvania

System (Eastern Lines).——9 and 32
System (Western Lines)-.—10 and 32
Railroad.....
—,9 and 31
Company.
See Penn——... 10 and 32
Terminal.
See Pennsylvania.*.—.10
Peoria A Eastern.
See N Y Central——.8 and 31
Peoria A Pekin Union
25
Peoria Railway Terminal*'.
——25
...

Pere Marquette——.................25
Perkiomen.
See Reading...
——..11

Philadelphia A Reading.
See Reading
.H and 32
See Penn
.10 and 32
Philadelphia Newtown ANY.
See Reading.... 11

Kansas City Mexico & Orient Ry
...
22
Kansas City Mexico A Orient Ry Co of Texas....22
Kansas City Southern—.—*— ..
22 and 32

Phlla Bait A Washington.

Kansas City Terminal..——....——.——.22

Pittsburgh A Lake Erie.
See N Y Central.9 and 31
Pittsburgh Allegheny A McKees Rocks
25
Pittsburgh Chartiers A Youghiogheny.
See Penn. 10
Pitts Cin Chic A St L.
See Penn
.10 and 32
Pittsburgh Shawmut A Northern.......
*....25
Pontiac Oxford A Northern.
See Grand Trunk.. 7
Port Reading.
See Reading—. ...
——
11
Portland Terminal.
See Boston A Maine....... 4
Prescott A Northwestern
......25
Pullman Railroad Co
—————26

..

Kentucky A Tennessee

———————

KentWood A Eastern.

.———22
22

....

Kewaunee Green Bay A West.

See Gr Bay A W—21

I ackawanna a'Wyoming Valley
..22
JLiake Champlain A Moriah
22
Lake Charles A Northern.
See Southern Pacific. 13
Lake Erie A Western.
Se'e N Y Central—.8 and 31
Lake Shore A Mich South.
See N Y Cent.8 and 31
Lake Superior A Ishpeming—
...
.22
Lake Terminal.
See U S Steel—
;
14
Lakeside A Marblehead
—————————22
Laramie Hahn's Peak A Pacific
—22
Las Vegas A Tonopah—
*..22
Lehigh A Hudson River...———.
.—22
Lehigh A New England
—*—22
Lehigh Valley
22
Ligonier Valley..—.,—————*
———22
Litchfield A Madison
.......................22
Live Oak Perry A Gulf.
22
Long Island.
See" Pennsylvania.......—9 and 31
Lorain A West Virginia—22
Louisiana A Arkansas..................23 and 31
Louisiana A Northwest—......—.23
Louisiana A Pacific
,.23
Louisiana Railway A Navigation Co...
—23
Louisiana Southern.
See St Louis A San Fran
12
Louisiana Western.
See Southern Pacific..—
.13
Louisville A Jeffersonv Bridge.
See N Y Central. 8
Louisville A Nashville.
See Atlantic Coast...
4
Louisville Henderson A St L.
See Atlantic Coast. .4
...

_

.

«

-

...

—

Macon Dublin A Savannah
aeon A Birmingham

23

.............
...........23
Maine Central.
See Boston A Maine.*.,
4
Manistee A Northeastern
-.23
Manitou A Pike's Peak
23
-

.....

——————

Manufacturer's Junction.
...23
Manufacturers' Railway of St Louis..........
23
Marshall A East Texas
f_—.
23
Maryland A Pennsylvania.......
.......-.23
Maryland Delaware A Virginia.
See Penn.9 and 32
McCloud River—————*—.
—.—.—..23
McKeesport Connecting,
See U S Steel.:.—14
Memphis Dallas A Gulf.
—.23
Mercer Valley.
See U S Steel
14
Michigan Air Line,
See Grand Trunk.......... 7

Michigan Central.
Midland Terminal.
Midland Valley

See N Y Central......8 and 31
See Cripple Creek Central...18
....

—.,..—..28

Pierre

Rapid City A Northwest.

See Ch A N W— 5

uirjcy Acme A Kansas
Quanah OmahaA Pacific City.
n ailway

17
26

See C B A Q

Transfer of Minneapolis.

See M A St L.23

IN-aleigh Charlotte A Southern
Raritan

River..............
Ray A Gila Valley.
Reading System.....
Reading Company
......
Reading A Columbia.
See Reading
Reynoldsville A Falls Creek
Richmond-Washington System...

...........

...

....

26
.26
—26
—11

—32
11
..26

——26

Richmond Fred A Potomac.
See Rich-Wash
.26
Rio Grande A Eagle Pass.*...—.*......4—.*..26

Rio Grande A El Paso.
See Atchison....—.— 3
Rio Grande Junction.—..
——32
Rio Grande Southern.
See Den A Rio Gr 6 and 32
Rock Island System...

............26 and 32
26
....9 and 32

Rock Island Southern Railway—

Rutland.

...

Set New York Central

St Clair Terminal. See Grand Trunk....*.
See U S Steel
St Clair Tunnel.

..15
7
—

St Johnsbury A Lake Champlain. See Boa A Me.. 4
St Joseph A Grand Island.
See Union Pacific..*. 14
St Louis A Hannibal*.........
.,.—*26
St Louis A O'Fallon
St Louis A San Francisco....,

26

11 and 32

St Louis Brownsv A Mex.
See St L A S F—.——12
St Louis Iron Mtn A South.
See Mo Pac.7 and 32
St Louis Merchants'Bridge ATerminal.
See Ter¬
minal Association of St Louis
28
St Louis Peoria AN W.
See Chic A NW——— 5
St Louis Rocky Mtn A Pacific
26 and 32
St Louis San Fran A Texas.
See 81L A S F
11
St Louis Southwestern..
...—.*.....12 and 32
St Louis Southwestern of Texas.
See St L S W..12
St Louis Transfer..——26
St Louis Troy A Eastern
26

St Paul A Kansas City Short Line,

See Rock Isl..26

'

Sept., 1913.}

RAILWAY EARNINGS

JVom#—
91 Paul

Ptoe.

Bridge A Terminal

26

Salem Falls Olty A Western...
———
20
Sal* Lake A Los Angeles
...
.26
San Antonio A Aransas Pass...................27
San Antonio Uvalde A Gulf....................27
San Diego A Southeastern
............27
San Pedro Los Angeles A Salt Lake
.........27
.........

Sandy River & Rangeley Lakes. See Boa A Maine. 5
Seaboard Air Line............................27
Shannon-Arizona. .
——27
Sierra Railway of California
1
i
27
South Buffalo.............
27
South Carolina Western....
I
" ""27
South Dakota Central
27
South Georgia
•
.
.

...

...

..........

....

Southern Railway-.
Southern Kansas Ry of Texas.

..........

12

...

See Atchison..Ill 3
Southern Pacific.........
13 and 32
Southern Railway in
Mississippi.
See Southern.. 13
Southern Utah*.........27
......

Spokane International-...27
Spokane Portland A Seattle———..^—.27
_

Standard A Hernando

27

>•'

Stanley Merrill.ic Phillips..............;

4
4

See St L 8 W.12

Sullivan County.
See Boston A Maine
5
Sump tor Valley..............................27
Sunset
....*.....—27
.......

Susquehanna A New York
Susquehanna Bloomeburg A Berwick.

.....

Sussex.

JVome—

Page.
...27

t

,

..........

See Ala NO A TP Jeft.1©
Victoria Fisher A Western
2®»
Virginia A Carolina Southern-.
Virginia A Southwestern.
See Southern....—.19
Virginia 4; Truekee———i———..2P
.......

Virginia-Carolina—2®
Virginian
29 and 32

.......

——

U/abagh...

32
28

Washington Idaho & Montana.

—....

....

r

Tionesta Valley
Toledo A Ohio Central.

.

Washington Southern.

See N Y Central—9 and 31
Toledo Peoria A Western.
See Penn10 and 32
Toledo Saginaw A Muskegon.
Toledo St Louis A Western
Toledo Terminal--

...27
See Penn. 10
.

See Delaware Lackawanna A Western...19

,

...

----28

.....

Western

Allegheny..................29
Western Maryland-.-—.—i.——29*
....

Western Paelfie.

See Denver A Rio Grande
Western Railway of Alabama

,

Wheeling^ Lake Brie.
See Wabash—
Wichita Valley.
See Colorado A Southern-*

Tacoma Eastern. See Southern
See Ohio Milw A St Paul....." 6
allulah Falls.
.13

V ermont

...

INTER-STATE

—.........28
.......28<

Wilkes-Barre A Eastern.

.....

—2#

Winston-Salem Southbound.
Wisconsin A Michigan—------

/--29s
29*
Wrightsville A Tennille.
See Central of Georgia—17"
Wyoming A Northwestern.
See Chic A N W
&

Yazoo A Mississippi Valley—.
oeemite Valley

————.29

See Boston A Maine..

.

See Brie—

Williamsport A North Branch

...29 and 32
29"

-

Youngstown A Ohio River——.

See Pennsylvania........... 10 and 32

Valley.

0
2&
15*
©

-

Union RR (of Pennsylvania).
See U S Steel
—.15
Union Ry (of Memphis)
..28
Union Freight.
See NYNH & Hartford
9
Union Pacific-.
.i—
.14 and 32
Union Railroad of Baltimore.
See Pennsylvania
10
Union Stock Yards Co. of Omaha, Ltd.....'.
28
United States Steel Corporation.....'...........14

\7andalia.

-2#

See Pennsylvania..1'0>
Weatherford Mineral Wells A N W* See Tex A P*-.2&
West Jersey A Seashore.
See Penn..—..10 ana 32*
West Side Beit.
See Wabash
15-

See Grand Trunk. 7
28 and 32

Uintah A Delaware.
—
later

—29*

See Richmond-Wash

Waynasburg A Washington.

Tonopah A Goldfield
28
Tonopah A Tidewater...............
28
Toole Valley
.——
.28
Tremont A Gulf
..——.....28
Trinity A Brazos Valley.
See Colo A Southern... 6

United Verde & Pacific

1&

.......i.

W abash Chester A Western...
2*»
Wabash Pittsburgh Terminal.
See Wabash......I&
Wadley Southern.
See Central of Georgia*,...—.IT

——

Tidewater & Western

Page,

Vicksburg Shreve A Pac.

Tennessee Alabama A Georgia^................27
Tennessee Central
i
28
Terminal Railroad Association of St Louis..<.....28
Texas A Gulf. • See Atchison...
.........
3
Texas & New Orleans.
See Southern Pacific-.... 14
Texas A Pacific-—...
—28
Texas City Terminal.
28
Texas Mexican...L——-—-28
Texas Midland......
28
Texas Oklahoma A Eastern
—.28

i—27

Staten Island.
See Baltimore A Ohio
Staten Island Rapid Transit.
See Bait A Ohio...

Stephenvllle North A South Texas.

'

Name—

Tampa Northern

Zanesviile & Western.

5

20

See N Y Central...—.

9L

COMMERCEJICOMMISSION RETURNS

In the

following we show the figures for the latest month of every road which is obliged to make monthly re^
earnings and expenses to the Inter-State Commerce Commission, at Washington. We give first the roaicb
that are under the control of the
larger systems, and then add the returns of all other roads, arranged in alphabetical
order.
In a subsequent part of this publication—pages 30 to 32—we also give the
Company returns where these differ
in any way from the Commerce Commission returns or embrace more facts than are contained in these latter.
turns of

Atchison Topeka &

Atchison

Topeka A Santa Fe

Freight revenue
Passenger revenue

—Month

Santa Fe System

-July 1 to June 301912-13.
1911-12.
$

—Month of July
1913.

1912.

%

4,882,519
2,243,571

4^917,447

89,856,346
13,347,319
13,631,674
2,005,716
26,764,617

7,691,765
1,241.718
170,190
2,136,591

7,611,119
1,212,589
1,575,996
161,547
2,138,664

Total, including general.....63,830,682 57,666,316

5.138.400

5,254,007

64,547,714 58.916,752
25,491,140 23,345.373

Total, including other revenue—98,09 ,754
Expenses—Maintenance of way—.15,239,198
Maintenance of equipment—16.317,94
Traffic expenses
2,074,834
Transportation expenses,......28,193,318
....

....

Net from railroad.*
Outside operations, net

Total net

-----34,260,071

32,190,030

1,419,731

2,115,470

Freight revenue
Passenger revenue

2,553,364

374,698

329,388

Fhud net
30,192,639 28,633.961
Miles of road operated——.....

2,178,666
8,357

2,027,724
8,200

-Month

■pGrand Canyon

of June

2,357,112

July 1 to June 30—

Freight revenue ................
Passenger revenue ———

1,160
16.881

Total, including other revenue.
Expenses—Maintenance of way
Maintenance of equipment——

19,723
6,818

...

19.142
17,519
606
968
9.480

—.

28,979

Net from railroad———.—.——.
Outside operations, net.....

—9.837

Total net revenue—.......—.

-9,837
1,235

1,712
1,200

22.180
15,366

-25,702
14,241

—11,072

511

6.814

—39,944

64

10,159
9,036

13,017
6.924

Traffic expenses.-."

Transportation

—...

expenses.

Total, including general

7,441
190,287

5,366
192,297

318
9.903

293,582
117,535
16,585
4,286
127,630

302,866
174,255
13,355
3,654
132,692

18,010

271,402

328,569

1,712

22,180

—25,702

18,423

622

———.

**?lnalJDOt v
Miles of road

—

......

—

operated.—

Gulf & Inter-State of Texas
Freight revenue ................
Passenger revenue

21,269
2,002

Maintenance of equipment.....
Traffic expenses

8,647

224.703
89,884

174,994
80,905
281,505
63,187
30,092
2,970

235

253

Transportation expenses.—.... ■13,409

12,053

365,905
74,344
59,250
2,909
172,362

Total,

25,045

19,089

317,173

232,594

Netfrom railroad.——.—"
Outside operatlona, pet....—..

—3,776

2.609

48,731

' 48,910

Total net revenue—...........
Taxes

—3,776

2,609

48.731

974

286

8,578

48,910
6,995

—4,750

2,323

40,153

41,914

71

71

615,788

567,426

9,863;758

253,088

238,046

2.993,362

946,071
131,158
192,572
26,591
416,143

878.861 13,701,533 12,111,537
2,418,284
1,861,298
88,046
155,338
2,129,057
1,892,260
317,042
299,985
.25,596
4,888,572
5,207,818
384,818

809;580

685,169

10,195,996

9,354,446

136,491

193.692

3,505.537

2,757,090

.

—

Including

general

.......

.......

Miles of road operated...
Gulf Colorado & Santa Fe
Freight revenue ——;
Passenger revenue

Total, including other revenue..
Expenses—Maintenance of way.
Maintenance of equipment.....
.

-

Traffic expenses

.

..............

Transportation expenses.......

Total, including general
Net from railroad

...

Outside operations, net—........

....

169,;

general....."

17,199

15,841

185,510

X73§

6,400

65,620

50M&

4,739
760

6,400
470

65,620
9,104

50,840
9,597

3,979

5,930

56,515

4ll, 242?

20

20

—.

—

Final net i—.............
Miles of road operated...........

Southern Kansas Ay of Texas
Freight revenue
——...

Passenger

revenue

71,073
14,678

.........

Total, including other revenue.."
Expenses—Maintenance of way...
.

Maintenance of equipment.....
Traffic expenses

Transportation

........

expenses.......

Total, Including general——."

20,410

90,610
Cr3,343
21.011
2,096
29,797

103,191
5,506
22,317
1,765
34,618

78,411

......

Total, including other revenue.."
Expenses—Maintenance of way...
Maintenance of equipment.....
Traffic expenses
....

Total, Including general
Net from railroad...———

"

—————————

———————

Miles of road operated....—..




1,134,27^
198,2.10

212,393

1

1,391,57*>
I69.8SI*

1,503,704
100,033
311,990
26,724
454,220

'

...

Final net
"
Miles of road operated—.....—..

53,415

68,238

937,005

1,042,852

37,194

34,952

566.608

348.727

37,194

Total net revenue.
Taxes

."

34,952
2,406

566,608
31,159

29,877

32,544

535,449

124

124

Freight revenue
Passenger revenue
Total

17,915
5,424

Expenses—Maintenance of way.
Maintenance of equipment

-

8,433,658
2,877*795

17,817

25.610
6.604
5,265

23,978
9,078
3,234

309

—

including other revenue.."

374

Transportation expenses.......
Total

"

including general

Net from railroad

~

.......

Outride operations, net.......—.
Total net revenue—

8,556

368,289
142,027
58,689
3,703
127,694

21,390

22,678

349,063

252,497

1,300

19,226

53jp

'1,300

53,
9,600
43,528*

4,219 "

*

700

816

3,519

484

im

11.741

126

305.63&:
92,828540,61*?
3,855
99,139

19,226
7,484

126

4,219

————.

Final net...
Miles of road operated-.—.—

3M:

7,767

.

Traffic expenses
■*:

280,859
67,779

4.800

5,524,646
2,458,262

5,490,097 78,298.396 70.559,79ff
2,420,852 29,584,276 27,214^84

Total, including other revenue.. 8,632,693
Expenses—Maintenance of way— 1,206,364
Maintenance of equipment.
1 *513,480
Traffic expenses
220,604
Transportation expenses
2,710,604

8,676,560 117088,071 106540,200
1,227,937 18.426,026 16,013.24*
1,208,443 19,422,332 16,348,409
211,301
2.458,704
2,673,750 35,221,310 33,380

Passenger

revenue

.......

—.

...

,

...

Total, including general...... 5,889,464

railroad.*.!......—.

Net from
Outside operations, net
.

_

Total net

2,743,126

2,390,^|

5,529,365

^839,033

3,137,189 39,249,034

70,602,000

35.938.10*;

...

2,743,126

revenue

373,779

3,137.189 39,249,034 35,938,t
301,866
4.629.083, 4,158

193,692
43,977

3,505,537
469,627

2,757,090
474,695

101,984
1,595

149,714
1,596

3,035,909

2,282,395

115,370

1,863,300

1,553,194

38,699

492,437

414.422

172.774
22,412
38,665
3,539
65.020

162,687
29,974
35,503
2,979
72,237

2,513,173
302,659
502,238
44,240
823,713

2,070,002
282,864
424,239
31,854
744,725

Total, including other revenue .36,123.071 33,498.356
Expense*—Maintenance of way.
4,667,356
4,282,608
Maintenance of equipment...
5,581,307
5,038.936
Traffic expenses ———
618,144
' 566.321
Transportation expenses—. ..12,821,636 * 11.764,152

2,547,151
416,280

136.762

147,522

1,752,111

1,554,833

Total, including general... —24,635,531 22,563,194

1,989.823

36.012".

15,164

761,061

515.169

Net from railroad
...
Outside operations, net...

36,012
2,449

15,164
2,694

761,061
60.334

515.169
56.466

Total net revenue..........
Taxes
——.....A—

33,562

12,469
478

700,727

458,703

481

291,01
24,01
509

J7217

Net from railroad—.i.......
Outside operations, net—

Total of roads aboveFreight revenue
——1.—

aet-

....

—

Miles of road operated

2,369,345
10.718

2.835,320 34,579.947 31.779.002
10,679 (See tkit road on p. 3k> '

Atlantic Coast Line System

Outside operations, net..—....
Total net revenue.——
Taxes

25,?r

1,233,479

124,658
37,098

,

............

Final net

102:?49*"'

railroad...——........"

Taxes

....

Pecos A Northern TSxas
Freight revenue
Passenger revenue

Transportation expenses

220.733
31,390

136,491
34,506

——

Final net
Miles of road operated

137,902

...

Total net revenue
Taxes

251,131
31,946

178

Total net revenue—....—"

Taxes

...——

Final net—

21,699
4,317
1,791

22,242
4,241
1,616

Texas A Gulf

•

_

21,939
3,907
2,166

9,945

........

Total, including other revenue
Expenses—Maintenance of way.—

109,67*
47,343

168

...

Taxes

8

.

134,142
46,996

9.936

expenses—...

Total, Including

64

.

541

$

12,389
3,675

26,583
2,023
114,555

Transportation

Taxes

,

—Julg 1 to June 30—
1912-13.
1911-12.

14,309
1,780

Traffic expenses

2,357,112

2,553,364

-

1912.
$

Outride operations, net——

34,260,071 32,190,030
4,067,431
3,556,069

Taxes

...

Maintenance of equipment...

_

revenue...—

.........

.......

Total, including other revenue.."
Expenses—Maintenance of way.

Net from

June—

<

1913.
$

Eio Grande. A El Paso

Atlantic Coast Line
■July 1 to June 30Freight revenue
........ ..24.497,523
22,481,195
Passenger revenue
8,931.836
8,412,309
..

,.

..

..

Pinal net

...

—.

Miles of road operated...—

—11*487.539 10,935.161
..11,487,539 10,935,161
1,451 i477
1,400,441
..

...10,036,062

9,534,720

Month of July

1,588,100

457,800
47,138
987,465

■

1,611.UMT
680,711*'

684,400

2,467,757
380,427
478,190
41,640 *
968,81

1,944.167'

467,327 1".

523,506a

467,327
132,000

523,
125,

&35,327

398,580

4,617:

4.600

railway earnings
Atlantic Coast Line S: stem

I June

—

-«*-

•

"

,

Charleston &Western Carolina
Freight revenue ———!—.

-S
.

107 ;983

in^cUpg other revenue.. 1,895,999

1,933,896
299,334
37,347-

146,459
29,737
27,303
3,106

751,518

67,228

128,115
31,447
25,680
3,455
52,090

361,056

Maintenance of equipment..III
3131927
Traffic expenses —40,289
Transportation expenses—.—,
738,531

,

•r

■

.121,698

117,255

425,990

04,761

10,860

423,405
63,269

425,990
66,915

24,761

10,860
5,000

360,135

360,075

19,761
340

1,507,905

Total, including general..... 1,472,593

v

91,232
30,396

1,475,670
360,58Q

32,381

■

Net from railroad*...44.........
Outside operations, net. «. <ii» m m * + m> mm,
Total net

423 405

Taxes

«"■

Final net
Miles of road operated.—
.

!——.*'■ ■

A. ^

: ■

5,000

i

•«,

5,860

Freight

105 821

Maintenance of
■

111,076
233,407

equipment.....

Traffic expenses —;

—

Transportation expenses.—
„

Total, including general~

245,113

150,021
20,113
18.695

141,894
16.250

-.**—*

699

Total net
FlUcil IlQt

iMciles

Net from railroad...........*...""
Outside operations-......;

.Total net

&

T&X6S

m

-»!•

revenue.. ..... -

mmrnrn'mmmm**

34,107

89,362
10,937

....

m.m m m 4* m m m m m <m m_ ■»

1,577

-728
907

1,677
1,017

-1,635

560
75

2,210

'

—~

Final net

Miles of road operated

-728

p07

89,362

—

711897

78,424

75

..........

4

2,014,096
882,165

Total, including Other revenue.
Expensea—Maintenance of way
Maintenance of equipment

3,117,765
356,275
598,667
138,246
1,567,372

Traffic expenses

'Transportation expenses.--.—

2,238,773
922,847

134,985
77,312

150,363
81,986

3,378,749
311,525
529,428
137,634
1,508,046

-

229,057
37,803
40,717
12,050
111,834

249,932
27,629
49,701
11,696

'

2,582,408

210,803

230,863

.357,861

796,340

18,253

19,068

Total net revenue*.! .—. —

357,861

796,340
32,845

i,253
J,964

19,068
2,920

...——

Taxes

35,728

——*———————

322,133
Final ■ net' u *! *- - —*
n—** -,
Miles of road operated—,..* .*;.*. .(See this road
-

-

-

Louisville & Nashville

.

height

on p.

15,289

3,448,464
1,190,522

3,123,366

:

revenue——*

Transportation„ expenses. - #— -19,884,014

4,925,193
867,783

998,279
113,726
1,681,167

18,408,196

1,097,054
4,501,175
780,005
913,671
100,365
,512,485

39,626,327

3,762,657

3,399,920

railroad**.———.—14,654,818 16,585,460
—8!l78
Outside operations, net.*———.*
20,428
wr Total net revenue...*———..14,675,246
16,577,281
Taxes——
*-———1,761,626
1,854,684

1,162,536
.—224

1,101,254

1,162,311
150,608

1,0% ,397
146,802

14,722,597

1,011,703

949*595
4,700

Total, including general .....44,810,880
from

—

Final net i———————12,913,620
Miles of road opiated....—.....

*

*

.

—4,856

4,923

51,67
29,51

775,421
371,884

402,794

66,468
36,077

Total, including other revenue..~ 1,231,482
304,931
Expenses—Maintenance, of way—
165,858
Maintenance of equipment
Traffic expenses ——.**_———
52,653
467 972
Transportation, expenses.——

1,279,468
289,871
165,817
53,146
440,394

108,719
24,816
15,082
4,596
35,091

1,029,414

985,601

82,864

202,068
3,117

293,867
3,200

26,915
—6

230

Total net revenue——————
Taxes *.<——- -*! ——-——-

205,185
43,347

297,067
36,000

25,908
3,600

—1,237
3,000

Final net—**.———*
Miles of road operated-—-—

161,837

261,067

22,308

—4,237

199

_

-

Expenses—Maintenance of way...

9,290,995

Total# including general—.— 8,061,989

8,460,359
2,946,752

707,738
268,525

1,044,195

2,227,345
463,317
4,569,758
9,378.871

867,893

Net from railroad————————
Outside operations, net.———

Total net revenue————
-Taxes
—-—•

2,878,378
-—5,228
2,873,149
304,071

2,883,803
—11,266

159,30
—1,"

2,872,537

157,324
25,340

231,835

FN?d net

2,567,030

131,984
1,231

206,419
1,231

-

12,262,675

1,796,913

305,606

Miles of road operated-*—*.*—-

152,542
189,235
40,751

7,317,25^

733,992

675,671

2,508,068

148,600

*240389

2,009,306
430,419

^,508,068

148,600
34,712

246,389

Final net
*-—*——
1,578.887
Miles of road operated—.——* ' ■

2,110,393

113,887
1,014

207,062

^—...

'.t Total net revenue.
Taxes —.—*****—.

Staten Island

y

Freight revenue
Passenger revenue

397,674

1911-12.

1912-13.

27,215

Total, Including other revenue..
Expenses—Maintenance of way—
Maintenance of equipment.——

227,147

285,784

—

23,911

^ 244,493

——

—....

1,014
1912.

1913.
2,492
v
26,443

262,272
23,635
38,239
4,120

49,068
43,594
4,466

33,327

1,999
25,205
28,516
3,970
3,600

30.552
2,711

2,906

343

152,246

142,494

617
13,407

12,281

264,278

223,669

20.665

21,416

Net from railroad..——
Outside operations, net-*.———

21,506
32,836

38,603
24,030

9.887

Y.IOO

6,912

•6,337

Total net revenue*—..—..—"
Taxes.-.—-——.*-.*—.——!.

54,342

12,000

62.634
[4,500

16,800
1,000

13,438
1,000

Final net
*.—
Miles of road operated!

42,342

48,134

15,800
12

12,438

41,058

40,517

34,451

30.884

Traffic expenses

*—.***—.——

Transportation.expenses...—..
Total, includng general.....

,

—

—....

Staten Island Rapid Transit
Freight revenue

498,027

Pjassenger revenue

282,535

...

—

——

Total, including pther revenue.."
Expenses—Maintenance of way.
Maintenance of equipment.——
Traffic ®cpenses
!..;*.!
.

480,242
274,307

7,243
•5,542
67,120
8,539
A H,

•;

-

„

!L_
M
*

87,415
8.110

12

IsM

73,640

7,491

5,93
4,990

6,699

"^205

*

676

343,

329,531

27,751

29,410

549,898

544,292

42,206

47,084

Net from railroad—*.——*——
257,345
Outside operations, net—210,661

237,439
224,484

36,141
22,529

26,655
21J255

Total net revenue.
Taxes———

468,007

461,923

47,811

54,500

49,200

58,670
5,000

413,507

412,723-

53,670

42,811

10

10

Transportation

Total, including general

„

t

expenses

!.

_

...

; >Fihsd: net
Miles of road operated-—-—

—

Boston & Maine
Freight revenue

revenue

of June
3,722
3,141
1,704
1,798

5,000

,.—

632,004
70,396

1.792,994

3,971,920 48,513,507 45,990,363
5,823.544
491,787
5,424,104
7,769,904
476,769
6,411,596
475,937
454,536
44,638
1,865,297 23,092,965 21,317,653

—

2,882.172

2,999,862' 38,101,424 35,087.295

Outside operations, net————

1,166,482
22,753

Total net revenue—
Taxes

1,189,235
68,688

947,278 10,599,996 11,046,491
172,350
2,025,628
2,086,863

1,120,546

774,927

2,251

2.244

laintenance of equipment—

Total, including general
Net from railroad.

Final

net

—.

—July 1 to June 30—
7,126,071
6,666,535
3,511,171
3,333,503

—Month

551,767
383,202

533,001
367,462

Total, including other revenue—11,331,406 10,643,051
1,880,247
1,792,298
1,434,052
*
1,646,417
104,472
Traffic expenses———
132,519
3,967,277
Transportation expenses....—. 4,330,612

998,782
173,600
143,471
385,337

961,129
203,400
.121,555
15,786
347,071

Maine Central
Freight revenue
Passenger revenue

„

...

——...

•

«*••*?*■.«■ m.m — mm. m.m m.m .

E xpenses—Maintenance of way. .
Maintenance of equipment.

.

...

.

_

..

8,246,

746,201

710,402

252,581

626

—4,238

250,727
2,611

2,952,831
530,223

248,342
47,097

253,338
42,897

2,495,392

;

2,952,205

3,044,014
548,621

.

7,690,846

3,084,407
—-40,393

——

Net from railroad.
*
Outside operations,, net———

2,422,608

201,244
1,206

210,441

Total net revenue.———.....
Taxes

—

...

Final net

*.*—.*_——

Miles of road operated

*

———-

1

31,786

7,725

31

813

36,342

Traffic expenses———————

194

667

14

141

75,517;

Transportation expenses..*.**.

23,473

11,335

2,219

1,106

33,331

21,616

2,034

r^2H6

3,604

4,867

"8^50

82,546

452

-2,852

29,057

452
1.256

—2,852
1,337

29,057
4,556

48,161
.4,637

—803

—4,189

24,501

43,524

71

Freight

71

123,678
21,006
8,473
*

.

48

revenue

Passenger revenue

48,161

1,298

....,.*.—

Total, including

general

*

• -

.

=138

-

82

Total net revenue————

57409

".Taxes*-*.-—**—-

——

57,851
62,422

79,753
57,042

7V74^

120,274
40,789

m,795
40,428

16,750
3,681

12,590
•3,250

79,484

Outside operations# net*.......—

Final net

96,366

13,068

9,340

9,008

,

Johnsbury & Lake Champ-—Month of June—
18,047
20,036
Freight revenue ———————
St

7,180

31

31

Miles of road operated—*,—

Baltimore & Ohio System

113

~

Net from railroad—*.———

Outside operations, net...———.

————————

2,632.

824

2,574

Utiles of road operated-——

1,204

Portland Terminal

5,182

42

*

13,912

2,677

1,247

revenue.——————

8,959,627

9,777
Cr613

50

——————

8,574,367

34,915
1,333

571

*————

143,422

187,913

101,369

111,604
19,603
9,068
.
604
42,078

Total, including general

operated.^.——... 1

10,412,082-10,903,068

91,182
2,678
1,164

6,097
3,253

Transportation expenses...—..

...

.972,057
—24,779
'

Total, including other revenue. .
Expenses—Maintenance of way—!
Maintenance of equipment-

979

:

—July 1 to June Z0—
2,244,282 28,692,688 26,811,512
1,386,129 16,049,174 15,693,674

of June

4,048,654
150,253

revenue..

of way
.

25,416

5,320

—---

—

—

_

Total, including other revenue—

Maintenance of equipment

Month

2,307,631
1,373,633

———

—

Total, including general

Expenses—Maintenance of way*.-

Baltimore & Ohio
Freight revenue

mi
ul ll?

2,009,306

402,457

-July 1 to June 30—
77,607
92,347
27,413
25;331

Month

Northwestern BR of Sou Caro
Freight revenue
—
Passenger revenue ———————
•

Final net

143,411

234,811

■>

Outside operations# net——

8i2,013

2,123,364

equipment—,— 2,380,794

•

.

lis!

1,703,448

*

640,532
-'145,243

J,060

4,153,647

Traffic expenses ....**.
Transportation expenses.

683,572
276,738

480,602
Transportation expenses.,——. 5,103,927
Total, including general
..10,438,783

-Total net

of July

620,706
157,876

expenses—III— 4,4771247

35,506

1,027,197
172,314
224,522
41,304
396,478

3,101,778

Traffic expenses————

Taxes

-r-Month

141,751
20,560
409,909

Miles of road

Total, including other revenue..13,317,161

Net from railroad

1 to June 30
7,384,783
7,202,251
1,606,145
1,609,544

,

Total, including other

2,569,078

Freight revenue .*.—...
Passenger revenue —————

Traffic expenses

Dayt—Juliir

—.—.

31,833
12,964
5,316

Nashville Chattanooga & St L

Maintenance of

100.385

77

03,870
203

it

......—

Net from railroad*—

199

792,853

^

general
railroadl————

.

^

__

T

Transportation

—1,467

Outside operations, net-———
'

304.264

192,455

9,825,320
1,000,947

^

88,900

Net from

401,637
209481

30,995

^

87,432

Total, including

61,025
19,029

26.118

293,97,
10,2"

-

Boston is Maine System

Louisville Henderson & St L
Freight revenue !* - . ———- Passenger revenue mi m m mm m,m

,

„

**

revenue

v:

.

390.907
10,729

721,891

832,363

307

;•*

-42,924,952 40,601,287
-———12,835,657 12,227,934
i» Total, Including other revenue—59,465,699;56,211,788
SJxpenses—Maintenance of way.—11,033,134
8,828,754
Maintenance of equipment—.*11,216,888 10,071,303
Traffic expenses1,259,701
1.178,108
A

16,148

307

30)

Passenger revenue

isfei

revenue

—

763,495

,

.

-

770

-

Total, Including other revenue*.10,071,296
1,241,46
way
laintenance of equipment.—— 1,876,58_
Traffic expenses ****———
234,241

133,711

Total, including general...... 2,759,903

1

'

Cincinnati Hamilton &
Passenger,

^

Net from railroad...
Outside operations, net.——

;

!■

......

Freight revenue— —————*—
Passenger revenue

50.254

42,170
16,051

—

i;403,444

of road operated
>

.

Georgia

mmmm-m mmm

—

—

91,640

982

revenue*-——.—. —"

-

16.227
777
54,273

41,187

.

Ta*ef———!*—. *_
I

229,264
276,255
-9,110

64,750

J

—-*

Net from railroad*
*————.
Outside operations, net——.*—

t

27,920

77

Total, including general
*

■

108,834,

Transportation expenses.———

j;

9,362

19,275

revenue

Traffic expenses

.207

,9,013

/•;.

-i-iii-i

'

>,

1,794,3^1

5,473
2,650

'21,809

$

;1
—

.

j Total, including other revenue—"

_

revenue.."
Expenses—Maintenance of way...
Total, including other

*

191M2.

1912^13.

Expenses—Maintenance of way...
Maintenance of equipment.**..

20,853

290

329,221
76,559
40,810
1,935
98,349

8,714
10,665

21,080
6,448
3,263

101 726

322.769
58,868
34,106
,3,227

Passenger revenue

12,645
7,078

209,070

199,417

—July I to Junto 30—

1.22,530

Freight

revenue

•;

"2,769

340

Columbia Newberry & Laurens

f

1912.

.*r§97

Passenger

_

m'm

revenue........

of June——

Bl & O Chicago Terminal
Freight revenue ****,——

1,441,549
356,357

revenue

Total,

—Month of July
1912,
1913,

s

.

-Month
1913.

Concluded.

30—
1911-12..

1912^1

[Vofcl xcWi.'

'July bio June 30—

.———

7,026,945

6,465,997 80,194,489 72,465,544
1,344,003 15,537,077 14,754,911

Passenger revenue

10,731

8,426

254,516
93,577

.......

1,458,028

228,261
101,235

9,015,427

8,314,833
1,357,833
5

34,300
10,782

29,987
10,093

385,450

1,611,618
1,481,732
Traffic expenses—————
189,789
Transportation expenses....... 3,201,918
Total, Including general —. 6,715,140

revenue—"
Expenses—Maintenance of way—

123

168

361,337
84,534
1,568
2,520
176,410

revenue

_

.....

Total, including other revenue. Expenses—Maintenance of way...
Maintenance of equipment

Net from railroad..

.

^

2,300,286

—.——*.

Outside operations, net——....*-4 —92,090

Total net revenue.....———.
1————

i axes
,

—

Final net—.*——-——

Miles of road operated




2,208,196
•

-

234;974

1,973,22i
4,456

^0155(A,131
.4,019,619

92,594,322
11,365,454

Total, including other

2,419,520 26,902,182 27,218,145
252,297
2,960,905 -2,783,194
*

2,167,222 23,941,277 24,434,950
4,455(See this road

on p.

32)

197

Traffic expenses
Transportation expenses..
Total, including general

5,840,316 73,779,637 64,709,537
2.474,616 27,776,493 27,884,785
—54,996 —874,310 —666,639

03,335

—

Net from raRrbad**..———

161

15,787

Maintenance of equipment*

1,389,545 18,323,210 16,651,534
-178.799
2,026,273
1.95Q.598
2,751,080 37,274,397 32,751,234

17,383

1,339
2,190
198,883

27,524

-28,420

304,281

X§66

81,168

1,566

81,168

6,775 ~

274,345

~

86,991

Outside operations#net—*. —,....
>•

Total net

'■Taxes.,**——*—-*——.*.——;
v

Final net

Miles of road

operated.—

—

500

11451

86,991
10,341

5,275

revenue—*——...—"

1,066

70,016

76,650

97

97

6,775
1,500

?EPT"

T.Vor

■

.

f

<■» |

Month of

—July \ to June 30
1912-13.

1911-12.

■$
113,139
49,800

X
105,497
48,379

«176,266

166,697
37,441
18,082
2,580
56,822

Sandy River & Rangeley Lakes
Freight revenue,../
Passenger revenue

wi-tv-i
------

Toial, including other revenue..
Expenses—Maintenance of way—
•>*.<Maintenance of equipment
<

Chicago & Ifcrth Western System

Boston & Maine System—Concluded.

.

\

.

RAILWAY EARNINGS

W-)

Traffic expenses

±.——

•

37,764

'

23,629
2,343
64,846

-

.

,

S

1

<

*"Uv'
"—Month of June-**- — July 1 to June 30—
1 ' 1913.'
1912.
1912-13.
1911-12.
Chicago & North Western
$
$
$
$
1
Freight revenue
.1—— 4,672,585- 4,145.672 54,661,588 46,691,540
Passenger revenue
———
1,820,666 : 1,723,350 20,557,623 19,556,567
Total, including other revenue.. 7,196,026
Expenses—Maintenance of way.— 1,448.985

13,726

— «•-

3,720
2,510
,>183

4,087
1,941
*
217

6,031

131,735

118,758

12,530

44^31

47.939

668

Traffic

expenses.

—

Outside operations, net

-

Total net

Final net—
Miles of road operated

-

47,939
2,022

42,830

-

—

5,033,498

45W~

•'•.1,908
125

165

t

50?

Taxes

105

-----

^

Sullivan County
Freight revenue
Passenger revenue

Month

...

—

30,726
12,178

—.

expenses

Transportation

-

Taxes

'Final

238,178

384,785

419,523

6.288

163,817

90,527

2,010

•

Maintenance of

Traffic

y

9,478,791
4,551,593

4,984,595

16,993^004 15,135,426

446,902
—3,933

5,105,543
—4,811

—4,732

440,228
68,790

442,968
66,879

5.100,731
832,263

4,664,476
782.845

376,088
1,744

6,678
15,036

,23,232
7.020

Transportation expenses..—r—

788,751

7,217
12,599

expenses. 1..::.;.^—...

1,235,653

371,437
1
1,744

equipment.....

26,879
6,313

Total, including generals
Net from railroad..—

.
.—

Outside operations, net—

------

163,706
117,221
J26,710
451,285

1,684,548
1,796.694

2,208,293
2,188,946
348,515
6,746,791,

,

320,889
6,383,447

ll,887,46r 10,406,216

4.669,209
'

■

____

'.-11,760

—

6,288

163,817

1,458

revenue———

net.

251,304

38,299

1,890

v

402,062

438,929
'1,298

Expenses—Maintenance of way.—

72,197
-

729,399 10,857,206

1,372,607
•236,200
<118,433
35,169
510,103

Total, including other revenue. _

t99,987

77,916

175

*

expenses

—

510,050

47,615

_

3,422,83?

' 3,597,159

933.677

548,602

6,687

railroad.—.—J

-

Z-

"

'

'5.067
690
24,168

5,055

307,838

1,885,749 21,197,277 17,540,871
7,960(See this road on j»k 30)

*

44,588
6,028

<45,013

' 2,193,587 24,794,437 20,963,701
v-

827,936
433,887

11,760

.

Outside operations, net..
Total net

338,835
146,972

33,252

ia—j—

f

Total, including general
Net from

371,711
150,455

20,827

Total, including other revenue.Expenses—Maintenance of way
p*Maintenance of equipment:
Traffic

Chic St Paul Minn & Omaha

Freight revenue. _——----- -TJPassenger revenue

July 1 to June 30—

of June
30,921
11,739

2,190,367 24,783,140 20,996,748
-3,219
11,296
—33,038

-

1,869,749
1
7.975

net

Miles of road operated

101

.

2,163,908
294.159

———

Final

,1.783

p.

;

t * Total net revenue—-

58,252,780 52,701,843

4,349,994

2.162,527
1,381

Outside operations, net

" 668

44,531
-1,701

revenue

*

2,501,459

Net from railroad

— —

'

Taxes.....

expenses

Total, Including general

.

.

839,054
99,213

''

1.908

.

6.540,362 83.035,921 73,698,591
1,074,281 11,501,186
9,368,721
648,794 11,568,496
9,569,85a
99,536
1,348,982
1,340,086
2,408.390 32,241,257 30,924,938

"

Transportation expenses

11,818

Net from railroad..———

'

F» Maintenance of equipment

5,166

Total, including general

Transportation

,'V

„

„„„

5,076

4,594
13,198

>«.

.

,

1912.

$

^

1

July

1913/'

■*

202

' ' 17,858

— —

•>

—

Miles of road operated-

10,302
26

6,085"-

:

90,527
22,802

145,959

-

Taxes

—-j.w—

Final

67.724

'

,

--

net

—

Miles of road operated

26

"*

Total net revenue

4,268,468
3,881,630
(See this road on p. SO)
r-

Pierre

Vermont Valley
Freight revenue
Passenger revenue..—-.

30,222
12,102

—

Total, including other revenue..

44,503
3,441
5,164
V164
18,970

44,418'

""

339,773
'

538,884

142,538

expenses
i—v—Transportation expenses--

Total, including general

—"

Net from railroad—.—

7,074
5,646
675
,20,491

'79,750

507,563
45,177

75,301
1,758
229,872

36,048

394,111

144,773

182,933

Outside operations, net

10,525
686

274,694
69,589
19,740
1,847
125,471

334,916
56,653
22,208
1,933
161,809

18,619

222,808

249,011

4,246

—

8,260

51,885

1,815'

Total, Including general
Net from railroad

<149

145
9,504

'.ii.

expenses

Transportation expenses .

—

.

•

-

4.803

8,370
1,833

144,773
26,480

182,933
19,433

118,292

163,500

Final

8.260
997

145,662

85,904

51,885
42,303

—556

7,262

85,904
44,497

9,581

165

Total net revenue.

6,537

16,009
3,480

revenue

.

151,418

Outside operations, net

——-

Taxes

Traffic

1,894

<

.

104,467
129,049

18,985

———-—

Total, including other revenue._
Expenses—Maintenance of way—
Maintenance of equipment——

324.630

8,370

57,877

' r

Rapid City & Northw

Freight revenue..
Passenger revenue

213,022

16.009

Maintenance of equipment—

Traffic

Total net

366,674
146,368

28,493

E/roenses—Maintenance of way
<v

30,831
11,282

165

4,246

-

"

Final net
—i
Miles of road operated—
i

.,r

».

12.528
24

...

,

*

"

f

Canadian Pacific Lines

24
'■

■

*v--

United

in

*■

"
■'

.

41,180

'St Louis Peoria & N W

States

expenses

——

Transportation expenses.

379,026

905,599
360,024

1,476,484

1,357,208

354,704

303,275

Traffic

6,676

220,615
74,604

59,647

64,377

662,006

205,250
63,926
734,413

Transportation expenses..

7,201

-

.—

Total, including general—,—
Net from railroad.

983,341

65,431
,50,654
10,541

74,050

•

Traffic

'

41,286
,19,386

27,474

■

131,518

136,574

1,372,608

1,362,381

—57,468

—

—71,142

103,875

expenses

94,840
14,269

—-

Cr .4,495

j—
14,298

4,998
8,141

Total, including general

25,117

-

-

-

69,722

21 882
Outside operations, net--

Total net revenue
Taxes

—.

30,023
5.154
Cr.2,417

Total, including other revenue..
Expenses—Maintenance of way—
I Maintenance of equipment——

—5,173

Outside operations, net

94,092

29,964

Freight revenue
Passenger revenue

46,043
13,755

—...——

Total, including other revenue..
Ejroenses—Maintenance of way...
f Maintenance of equipment'

Miles of road operated

41.406

*

'

Canadian Pac Lines (in Maine)

Freight revenue
Passenger revenue

1—

net

21,882

...

69,722

*

1,449

449

r

———
_

Total

net

revenue

—

net—

Miles of road operated

—71,142
22,300

—69.507
233

Taxes
Final

—57,468
12,038

.

—93,443
233

103,875
124,038

—5,173
107,300

—20.163

—112,474

'

^

^

Freight revenue..-^——V—Passenger revenue

221,218
96.788

196.848
85,461

2.252,869

Total, including other revenue—

342,641

297,199

3,412,831

way
Maintenance of equipmentj——

83,141

89,360

7l6,7ll

3,152,475
575,766

39,791

Traffic

12243

31,290
14,233
105,201

411,863
119,641
1,358,578

360,164
121,763
1,225,429

Expenses—Maintenance of
'

expenses

Transportation

expenses

Total, including general
Net from railroad—...—
Outside operations, net
Total net

257,554

—

85,086
1,459

—

-

-

...

Miles of road operated
Mineral

51,273
21,751

2,724,490

59,566
3,464

-

...

Total, including other revenue..

Transportation

760,672
217,417

473,388

623 (See this road

on p.

;

■»

Outside operations, net
Total net revenue—'.
—

net

"

—

844,456

770,248

153,690
131,931

124,968
127,389

33,270

5,393
371,938

5,786
370,874

69,533

680,004

—_.

Miles of road operated

164,452

124,731

—

20,130
14,575

.

481

—•

13,113
3,475

—-4,526
" 1,677

—6.204

way

expenses

Transportation

expenses—

Month of July
1,774,221
1,549,812
696,793

621,928

2,309,008
339,040
294,587

3,978,975
647,055
—10,096,355

3,349,305
563,576
8,682,476

"

388,280
52,668-4
813,185

18,891,257 15,882,727

Net from railroad

Total net

31.)

2.634,706
423,131

Total, including general

Outsideoperations.net

87,016
on p.

5,702,247

6,598,442

Maintenance of equipment..

124,731
37,714

.31,763,787 26,263,996
3,486,089
3,486,089

revenue

Expenses—Maintenance of

w

128,609

127 (See this road

Marie—July 1 to June 30-revenue.^——+-x.-£-v—23,485,675 19,044,283
revenue.

p

104,452
35,843

Minn St P & Sault Ste

Total, Including other

—

1,728,768

10,381,268
79,681

905.938
"20,171

12,872,530
127,618

865,474
21,457

886,932
97,273

11,236.024
8,919.033
Miles of road operated—(See this road on p. 31)

803,848
3,976

789,659
3,772

;

Final

net

Newport & Richford

Total, Including other revenue—

Expenses—Maintenance of
o

July 1 to June 30—
133,592
140,358
" 53,220
53,276

Month of June
'10,058
10,736
4,446
4,546

Freight revenuePassenger revenue
way

Maintenance pf equipments
Traffic expenses
i
Transportatiop; expenses

►

16,652

11,375
.1,586

"

"

80

13,716

209,576

17,580
4,410
1,392
80
18,986

"

65,305
19,862
.1,121

173,112

220,441
52,915

19,926
1,057
171,059

Total, including general

27,040

25,137

262,870

247,599

Net from railroad."——
Outside operations, net

^-10,388

—7,557

—53,293

—27,157

-Total net revenue——————
Taxes

------

—-10,388
2,538

—7,557
581

"

-

—53,293
12,038

—27,157
7,731

—65.332

—34,889

"

Final net
—12,927
Miles of road operated...21




—8,138
21

*

349,650
81,004

33,761
4,855

403.449

455,207
47,232
29,971
3,667
112,677

6,441

13,895

net

10,660

-

199.585

194,702

19,805

208,746

,

-

X

^

-

i.

-

255,622

L

10,660
6,281

5,674

208,740
40,931

255,622
39,524

14,091

,!167,814

216,097

147

—

19,865

4,378

Total net revenue
Taxes
Final

310

289

7,122

pi

49,643
32,544
3,462
103,037

1,787

15.875

147

—;

Miles of road operated

-

Chicago Milwaukee & St. Paul System
Chicago Milwaukee & St Paul—July 1 to June 30—
.67,964,161 55,796,064
.18,457,135 16,568,863

Freight revenue.
Passenger revenue

Total, including other revenue..94,084,054
Expenses—Maintenance of way—10,648,785
"Maintenance of equipment.
13,871,985
Traffic expenses
i
1,894,343
Transportation expenses.—-.—35,065,842
-----

Final net—
Miles of road operated.—

133,581

2,666,571
37.633

31,374,835 22,133,753
3,823,832
3,921,963

2,561,776
331,462

—-

2,704,204
310,561

—27.551.002 18,211,789
j.

Month of June-—21,188"
19,075
7.973
8,690

2'239°^03

2,393,642
9,570

—July 1 to June 30—
; 198,108
213,892
98,551

94,496

30,818

347,449

329,268

5,946

144

372

64,128
38,130
2,000

8,922

8,390

93,038

'4,605
86,971

21,958

18,437

214,096

212,855

10,263

Maintenance of equipment..—
Traffic expenses—
;•——.

12,381

133,352

116.413

Transportation expenses....—
Total, including general.-aNet from railroad
Outside operations, net—

2,025

•

56,866

42,990

------

—

10,263
.1,905

.

Final net
Miles of road operated—

63

—

Gallatin Valley
'
Freight revenue.—.—-—
Passenger revenue
...

.

112,878

94,954

.

,

Outside operations, net..———.

-

.

"

——

—

.

Miles of road operated..——----

<

21,45ft

63

—Month of July

3,023

<6,038

2,841

2,833

6,110
1,180

-

9.037

116,629

90,810

83,898

37,917
948

32,730

38,865
'7,732

Transportation expenses...

———

116,413

128,757
11,108
8,926
1,001
65,861

Maintenance of equipment——
Traffic expenses
———-

Net from railroad—

133,352
20,474

—July 1 to June 30
91,490
80,477
30,568
31,856

Total, Including other revenueExpenses—Maintenance of way—-

Total, including general..

12,381
1,547

10,834

Taxes

net.—-

"

32,221
7,492
3,825

Expenses—Maintenance of way.—

Final

180.860

4,720,975

-

revenue.

2,498,197

33,149

Bellingham & Northern
Freight revenue
———————
Passenger revenue—C Total, including other revenue—

Total net
Taxes

7,393,547
1,032,815
923,883

2,528.627

174,748

revenue

Taxes-———————*

-

5,034,508
1,710,222

7,740,518
1,125,283
1,131,683
160,893
2,655,322
5,211,890

Outside operations, net--

•

Month of July-

5,227,244
1,881,370

31,200,087 22,000,171

Total, including general....
Net from railroad—

Total net

79,255,355
10,007,206
11,475,528
1,818,641

32,564,967
62,883,967 57,255,184

•

»

302,571
73.573

—

Net from railroad—
—-—,'±
Outside operations, net——

704,630

926,110
122,262

revenue.

-i——

expenses

23,056
8,491

26,536
5,351
2,611

-•

Total, including general-

1,443.533
-

16.084
7,879

—

Transportation expenses.—

57,469

—13,000,148 10,460,949
1,764,124
1,541,916

i

Taxes

Traffic

645,517

-—4,526

65,006'

-.

0,638
122

-

x——

66,520
15,484
11,914
453
24,416

—

Total, including other revenueExpenses—Maintenance of way.—
}•
Maintenance of equipment-

.

712,057
34,401

23

Wyoming & Northwestern

39)

———

expenses

Total, including general..

Taxes

774,911
42,392

59,083
3,571

Miles of road operated.—.

543,254

,

53,407

'<

-

Net from railroad—

Traffic

693,013
219,625

•

13,113

way
Maintenance of equipment
Traffic expenses
i.

jv

757,314
3,358

"

Expenses—Maintenance of

Freight
Passenger

2,395,160

688,341
/ 4,672

'

29,522
e

2,061,096
■* -929,692

Range

Freight revenue!-.
Passsenger revenue

Final

50,132
1,140

64.834
627

—

net

247,066

^

86,546
21,711

revenue

Taxes—
Final

115,324

—

68,273

net

Freight revenue
Passenger revenue

Duluth South Shore & Atlan

972,525

Final

32,730
5,175

31,133

27,554

—944
50

8,874
6,921
1,020
63,563

1,032

4,225

4,939

6,400
-

"

1,509

555
77

7.889

—290
—14

1.147

—304

1,147
520

640

64

027
l50

6

RAILWAY EARNINGS

[Vol.

Chicago Milwaukee & St. Paul System—Concluded.
July 1 to June 301912-13.
Tacoma Eastern

423,538
117,784

42,998
16,336

33,921
11,286

669,997
111,958
100,752
8,530
231,955

567,833

62,090
14,385
20,235
19,125

47,573
10,464
9,330
1,874
16,867

470,669

expenses

expenses

Total, including general

414,975

55,584

40,005

Wet from railroad
Outside operations, net

101,580
87,356
8,996
198,016

352

Taxes

Final net
Miles of road operated

164,801

6,506

119,401

Colorado

&

Month

213,277

8,827,773
1,166,652
2,010,570
135,828
2,624,703

530,419

442,278

6,203,733

107,446

113',570

expenses

Transportation

expenses

Total, including general
Wet from railroad.
Outside operations, net
Total net

156,572
—1,758

revenue

....

Allies of road operated

.....

Fort Worth & Denver City

323,768
118,143

4,635,630
1,354,082

3,935,719
1,139,608

469,283
73,167
42,536
31,990
178,647

6.173,628
938.611
359,523
2,369,410

5,258,532
952,734
489,143
340,452
2,165,242

351,855

351,514

4,500,488

4,229,864

161,005

117,769

—1,444

—1,156

1,673,139
—11,635

1,028,667
—36,161

159,561
26,188

116,612
17,372

1.661,504
278,096

992,506
185,233

133,373
937

99,240
937

1,383,407

807.272

2,608,878
351,258
2,257,619

Erie

3,314,741
929,046

5,334,555
598,395
981,395
84,727
1,906,263

4,780,967
483,434
794,198
81,159
1,639,697

Total, including other revenue..53,971,813 48,438,095
Expenses—Maintenance of way... 5,372,851
5,266,004
Maintenance of equipment
9,619,240
8,601,122
Traffic expenses
1,201,738
1,140,810
Transportation expenses
18,058,645 16,938,124

4,762.590
620,149
824,510
105,917
V1,484,495

4,594,505
545,908
785,920
94,333
1,391,273

3,745,405

3,166,367

1,589,150
—9,642

1,614,600

59,015
6,154
117,615

311,700

235,318

45,319
—2,182

68,468
—1,094

43,136
13,286

...

67,373
10.633

1,579,507
128,919

1,606,446
135,275

56,740

1,450,587

...

1,471,171

454

30,853
10,177
6,181

Total, including general

Total neb

;

—

revenue..

way

8,|9
—

427,205

348,437

J219J53

201,155

698,286
117,014
101,941

240,409

596,448
114,240
86,374
8,651
254,252

499,133

492,707

:

724

17,529

32,905

8,945

13,269

38,925

expenses

—'

'

4,690

199,153

T690

—2,051
2,793

"

2,800

1.896

—4,845

'

256

revenue

...

103,740

*'Freight revenue
Passenger revenue

"1037740

166,584

Final

net___

2,902,512

15,415,833
—205,360

1,603,274

1,691,992
—8,621

15^210,472

1,603,665
138,546

1,683,370
138,546

1,465,118
1,987

1,544,823
1,988

1,662,559

—16,509,732 13,547,913

Chicago & Erie
Freight revenue
Passenger revenue

32,709

4,225,138

391

4,089,662
687,952

336,942
66,938

5,270,373
663,921
1,011,327

741,782

Total, including other revenue.-t5,493,371
Expenses—Maintenance of way
896,208
Maintenance of equipment..
1,179,829
Traffic expenses
252,170
Transportation expenses
2,860,028

442,940
88,857
104,668
23,902
220,927

464,772
88,490'
92,365

418,460'

252,733

-

Total, including general...

2,623,474

266,079
22,347
375,101

net.

Miles of road operated

9,278,271

4,412,342
—24,803

4,387,538
512,745

4,211,585
494,854

163,247
3,874,790
3,716,729
1,783 (See this road en p. 29)

2,569,455

587,824

505,692

418,618
125,386
r 1,375,990

I 2,651,120

expenses

Total, Including general
Net from railroad
Outside operations, net.

102,876
54,380

97,219
46,915

346,154
115,372
1,249,394

164,176
49,781
31,311
10,643
91,880

151,414
45,081
25,274
10,161
77,534

2,350,148

195,363

167,798

446,265

184,698

219,307

-31,187

—16,384

184,698
47,513

219,307
50,838

-31,187
4,000

—16,384
4,000

137.185

168,468"

-35,187

—20,384

462

462

■

...

revenue

Taxes
Final net
Miles of road operated
,

4,679,425

450,734

590,947

^—7^793

22

12

26

Total net revenue.
Taxes

157,588
166,722

590,969
154,767

-7,781
12,895

46,338
12,895

—9,133

436,202

-20,676

33,443

269

269

44,345,739 39,791,526
10,215,254
9,623,114

3,723,327
1,074,162

3,671,489

Total, including other revenue..59,465,184 53,708,468
Expenses—Maintenance of way
6,269,059
5,929,925
Maintenance of equipment
10,799,069
9,612,449
Traffic expenses
1,453,908
1,393,543
Transportation expenses
20,918,673 19,561,598

5,205,530

5,059,277
634,398
878,285
117,535
1.594,342

Final

—

net

Denver

&

Rio

Denver Si Rio Grande

Expenses—Maintenance of way...
....

expenses...

Total, including general—..—

1,461,646

Net from railroad

1.335.758 17,047,172

Miles of road operated.

593,234
65,500

341,545
2.560

net

692,344

413,545
72,000

1

Taxes

527,734
6.450,559
5,396,259
2,555 (See this road on p. 29.)

890

7.405,792
—6,494

7,399,298
948,738

6,295,885
—22,625

6,273,259
877,000

5,154
726

702

8,892

9,486

revenue-

6,362
1,489

8,677
1,996
1,378

92,434
17,090
17,364

41

101,058
20,092
17,979

8

493

117

2,365

2,604

31,290

34,077

5,119

6,454

71,485

77,427

T243

"27222

20,948

23,630

T243

2,222

23,630
5,682

17,948

822

way
Maintenance of equipment
Traffic expenses
expenses

~

Total, Including general..
Net from railroad

Outside operations, net
Total net revenue

7,591

78,769
)

86,775

...

,

—

Total, including general.

40,705,175 37,701,687

3,610,050

3,320,972

18,760,008 161)067780
—324,291 —205.338

1,595,481
403

1T7387303

18,435,716
1,935,117

175,801,441

1,595,884
151,441

1,729,708

-16,500,599

13,984,115

1,444,442
2,256

1,578,266

Net from railroad...
Outside operations, net

Total net revenue....—'
Taxes
Final

New

709,006
929,178
129,819
1,705,422

997,103

net

...

1,817,326

.

—8,595
151,441

2,257

Jersey & New York

Freight revenue
Passenger revenue

184,548
621,902

Total, including other revenue.Expenses—Maintenance of way
Maintenance of equipment..
Traffic expenses

844,244
115,586
65,514
10,127

Transportation expenses.

383,106

43,330
12,832
366,761

588,562

525,423

61,907

255,681

279,582

18,029

27,428

<

Total, including general—.

175,295

Outside operations, net..

62,494

16,467
58,944

805,005
90,465
.

14,124

594,633

79,937
20,425
5,547

78,263
13,203
4,918

626

738

33,841

30,904

7

50,834

—*—

Total net revenue.-

.Taxes...

255,681
22,502

279,582
20,717

18,029
1,875

27,428
1,725

Final

233,179

258,865

16,154

25,703

47

47

net—

New York

Susq & Western
2,008,649
570,915

1,923,250
588,418

144,594
53,912

153,041
53,790

Total, Including other revenue— 2,926,935

2,862,098
276,078
276,195
23,349

224,379
32,613

Freight revenue
Passenger revenue.

........

-

Expenses—Maintenance of way
Maintenance of equipment
Traffic

Total, including general—...

Total net

1,781,917

167,875

163,831

945,678

1,080,181

—6,398

'

...

....

677078

net

Miles of road operated

—24,936
1,055,245
196,725

60,570
17,648

60,680

756,234

revenue

.

56,504
4,066

927,691
171,457

.....

Taxes
Final

30,851
1,689
95,958

1,981,257

expenses....

Net from railroad
Outside operations, net

1,146,713

316,463
348,276
23,767
1,230,256

—

expenses

Transportation

230,910
34,383
26,299
1,779
97,146

858,519

42,922

43,031

Si.)

154

154

—17,986

.

(SeeJthlt|road

mn p.

17,648

Freight revenue—
Passenger revenue

656,249
4,593

Traffic expenses

635,161
5,135

54 301 "«r>* 46,670
626 *•""
692

641,849
113,979
80,601
7,261
226,837

55,090
7,423
7,032

17,106

16,605

403,295

—.

Total, including other revenue..
Expenses—Maintenance of way—
Maintenance of equipment

441,644

33,085

36,560

22,005

10,869
10,869

663,134
81,049
80,722
7,725

221,126

Transportation expenses
Total, including general
Net from railroad..

-

-

479

'

47,429
12,115
6,588
399

259,839

200,204

259,839
5,593

200,204
12,850

22,005
547

547

254,245

187,354

21,457

10,321

92

-92

Outside operations, net—

iTaxw

384

442

20,948
4,612

Fmal net...!.
.Miles of road operated

859

1,780

16,335

...

Freight revenue
Passenger revenue

46,311

WIlkes-Barre & Eastern

.........

Expenses—Maintenance of




16,984,517

411,443
2,101

Outside operations, net—

Company

Miles of road operated.—

System

of JMne—— —July 1 to June 30—
1,301,473
1,417,847 18,078,140 17,359,374
406.092
424,221
5,299,080
4,888,588
14173,089
1,928,103 24,452,964 23,280,402
288,500
3.545,938
432,970
3,201,865
351,643
395,679
4,538,250
4.326,859
43,448
53,473
546,432
634,297
587,213
535,650
7,738,495
8,185,483

revenue—

Maintenance of equipment
Traffic expenses

Grande

-Month

...

Total

Net from railroad

,

23,202
203,069

167,581
—9,992

Miles of road operated

Month of July-

2,835,81.8

way

—24,522

68,057

5,325,790

4f236,198

205,849
42,601

2,031,464

revenue—

expenses

Total, including other

10,448,271

209,781
—3,930

2,156,828
563,759

Maintenance of equipment...

Boca & Loyalton
Freight revenue
Passenger revenue

710,501

July 1 to June 30-

revenue

Expenses—Maintenance of

881,044

157,377
1.836

——

Trinity & Brazos Valley
Freight revenue

revenue

•

13,514,381
1,576,959
2,483,524
l
229,500
229,454
4,771,375
4,521,199

262,639
45.261

...

revenue

Total, including other

14,860,614
1,882,061
3,093,906

3,179,272

9,695,617
2,963,111

266.581
—3,940

•

Wet from railroad
"Outside operations, net

Freight revenue..
Passenger revenue

920,283
134,924
189,221
21,134
,327,317

179,180

expenses

Total, including other

10,835,930

1,687,627

Traffic expenses

Total, including general

628,371
230,935

356,748
•

Outside operations, net_.

Net from railroad

71,030

787,848
257,299

...

Total, Including other revenue..
Expenses—Maintenance of way—
Maintenance of equipment

Transportation

revenue

3,159,316

18,592,427
—314,299

Miles of road operated

'

Final

.......

Taxes

256

...

'199,153
-32,568

Total Company

Total net

—35,379,385 33,022,262

18,278,128
1,768,395

Net from railroad
Outside operations, net

Miles of road operated...

14,515
13,210

43,616
9,742

—8,153

454

24,828
15,689

1

Month of July

,

Final net
Miles of road operated.

■

System

303,787
38,396

7,891

Net from railroad
'Outside operations, net

Transportation

net

Miles of road operated

■.

Total net

...

revenue

3,386,385
1,007,224

expenses

Transportation

,T

Net from railroad
Outside operations, net.
Total net
Taxes

»

...

2,174,528

144.295

Total, including general

Traffic

expenses—....

Total, including general

2,501,399
326,870

111,352
1,073

expenses

Transportation

517,849

—July 1 to Jxine 30—
...40,120,601 35,701,864
9,473,472
8,935,162

Maintenance of equipment..

Passenger

179

512,860
84,135
27,684
34,613
179,191

Final

29,849

Expenses—Maintenance of

Final

•

Freight revenue
Passenger revenue—

..........

Total, including other

Total net
Taxes

operated,..

Pacific

365,157
131,836

Traffic

2,517,768
—16,369

140,527
29,175

61,998
82.983

expenses

revenue

Transportation

—36,650
35,680

3,112,406
1.419,468

Final net..
M lies of road operated

*

228.916
29,563

—16,217
199.353
—72,331
179J(See this road on p. $2.)

357,019

Wet from railroad....
Outside operations, net.......

Taxes

—14,132
2,085

16,642

...

3,510,915
1,564,158

...

Total, including general

Total net

—36,650

180,274
103,745

way

Maintenance of equipment
Traffic expenses
;

Transportation

546,921

228,916

18,825
2,183

.......

Erie

revenue—

Expenses—Maintenance of

Traffic

435,261

-14,132

221.758
115,776

Total, Including other

Wichita Valley
Freight revenue.
Passenger revenue

55,598

18,825

...

Total, including other revenue—
Expenses—Maintenance of way...
Maintenance of equipment.....

-

Freight revenue
Passenger revenue

Total net
Taxes

—15,161

154,813
29,175

net

Transportation

2;624T039

143,364
—2,836

125,638
1,126

...

T«ws
Final

Western

5,619,197

/

way .

Maintenance of equipment

610,271
283,972
40,847
2,123
201,617

96,973

Freight revenue....
Passenger revenue

585,643
86,351
124,025
14,256
196,433

686.992

net

Miles of road

8,136,966
979,285
1,602,952
139,644
2,627,250

541,262
125,834

revenue 1-

Expenses—Maintenance of
"Traffic

92

433,582
113,980

Freight revenue
Passenger revenue......
Total, including other

4,872

July 1 to June 30—
6,897,810
6,234,774
1,342,488
1,395,361

of June—r-

664,178
165,277
43,673
1,261
218,880

21

Taxes

Southern System

Colorado & Southern

41,465
34,428
4,184
134
15,724

Outside operations, net.....

Final

$

379,107

8,399

18,638

Net from railroad

7,568

1911-12.

S

37,267

expenses

Total net revenue
■

1912-13.

607,076
116,672

expenses

Total. Including general......

7,568
2,695

3,656

152,857
8.447
161,304
41,903

6,506
2,850
92

199,328
199,328
34,526

..

Total net revenue..

-July 1 to June 30—

S
29,964

66,092
14,382
3,290

.

...

Transportation

1912.

42,227
10,255

Total, including other revenue.
Expenses—Maintenance of way...
Maintenance of equipment
Traffic

of June—

$

Freight revenue
Passenger revenue

$

S

Month
1913

Rio Grande Southern

508,015
130,918

-

Total, including other revenue.
Expenses—Maintenance of way..
Maintenance of equipment

Transportation

■

1912.

1913.

$

Freight revenue.
passenger revenue

Traffic

—Month of July

1911-12.

xgvii

45

-

45

Total net

revenue

Taxes
Final

—

net

Miles of road operated

—

—.

v.

«

7

RAILWAY EARNINGS

SEPT., 1913.]

-Month
1913.

Grand Trunk Lines in United States

45,886

Expenses—Maintenance of/way...
Maintenance of equipment
expenses

19,823

111,710
48,439
13,445

Total, Including general

Final

net—.

137,764

288,701

252,039

Net from railroad..
...
Outside operations, net..........

—14,606

—9,480

—47,863

2,334

—14.606
1,088

—9,480

—47,863

33

12,495

2,334
4,875

—15,694

—9,513
100

—60,359

—2,540

Maintenance of equipment.....
Traffic expenses—
.......

_52,321

53,479

123,222

1,508,700

1,478,296

22,311

—11,511

62,513

170,390

m_

Total net revenue

Taxes

—

.

—11,511
14,520

170,390
152,285

62,513
87,765

—26,031
166

18,105

Final

net

.....

—25,252

Miles of road

—Month
1913.
$

—Month of July-~—

—July 1 to June 30—
1911-12.
1912-13.
$
..

1,099,239

Total, including other revenue ..4,199,046
461,501
Expenses—Maintenance of way.
Maintenance of equipment—
703,075
Traffic expenses............
98,724
2,004,816
Transportation expenses.—..
..

..

..

-

221,454
108,621

'

360,260
46,057
"53,483
8,432
178,915

294,126

27,658

66,134

881

—289

24.803

347,821
13,241

722

768

J.

2,620

1,387

„

3,365,537

3,179,268

Net from railroad..
Outside operations, net——-

833,508

906,044
5,372

Total net revenue—.,.—
Taxes

834,411
176,967

911,417
145,500

44,192
15,500

65,844
12,200

657,443

765,917

28,692

'

Transportation expenses...—

"5*593

"4*887

10,543

10,173

96,621

Net from railroad-——————-

17,114

59" 407

66*,f l8

Total, including general—.

84,559
l"

411

251,200

212,376

14,629
3,062

^51,200
30,180

212,376
30,037

11,566

*""221,020

182,338

14.629

53,644

536

expenses.———.r.—.

296,936
10,579
11,339

.

14,99t3

Outside operations, net...—.—.

43,311

.

of June— —July 1 to June 30—
1912,
1912-13.
1911-12.
$
v
?
$

........

369,931
67,450
71,587
7,771
172,348

Traffic

*

,

........

Total, Including other revenue.
Expenses—Maintenance of way..
Maintenance of equipment

326,620

4.085,312
404,947
639,696
91,703
1,937,883

..

.

232,390
109,230

2,691,869
1,061,805

2,776,693

..

$

Freight revenue—
Passenger revenue

1912.
$

1913.

8

■

84 772
44.5641
12,966

3 735

100

operated—

St Clair Tunnel

Central Vermont
Freight revenue..............
Passenger revenue—.........

1,036
9,884

81.856

24,530

115,156

Miles of road operated

254,373

30.176

Expenses—Maintenance of way...

787,485

3,507
166

240.837

Total, including general......

902,384

—

15,049
10,755

Transportation expenses.......

3,905

Total net revenue...—22,311
Taxes
———
18.803

148,417

248,306

53,604

"

128,257
87,346

346,319

4,187

Net from railroad..—..——..
Outside operations, net—...—

5,814
5,774

64 851
38,439
13,162
129,372

59,912

—

1912.

6,994

...

-July 1 to June 30—
1911-12.
1912-13.

June—

15,569
11,110
3 747
1,152
13,152

318,528
1.540.809

1,739,090
305,321
260,286

■„

-x

Transportation expenses.—.—.

revenue.

Total, including other revenue..

...

„

358,463

137,467
23,412
22,654

revenue

Total, Including other revenue-.

Traffic

0

,

Passenger

• S
1,076,636

•
t
1,242,448

$ * •
81,034

_

1911-12.

1912-13.

1912.

87,557

Freight revenue
pmamffw

June——July 1 to June 30—

—Month of
1913.
$

Atlantic a St Lawrence

of

Pontiac Oxford & Northern
Freight revenue.——.—

Total, including general

—

902

———

•

Final

net..—....

.......

;

Miles of road operated-—

"

17,114
2,645

Total net revenue
Taxes

■

,

T

*u

Final

net—

r

14,468

——4-

2

2

Miles of road operated..—

of June— —July 1 to June 30—
1912-13.
1911-12.
1912.

—Month

1913.
-Month

of June■

1913.

Chic Det & Can Gr Trk June

Freight

$

revenue——

Total, Including other revenue..
Maintenance of equipment
Traffic expenses
*—

70,198
11,880
9,630
1,937
33,097

net

11.909

123,282
32,836

90,446

6°

1912.

revenue———.—.—

6,938
5,527

Total, Including other revenue..
Expenses—Maintenance of way
Maintenance of equipment

14,442
10,999
4,379

164,452
'68,678

172,998

26.967,
2,775
3,593
1,070
13.234

255,572
69,418
48,724
11,439
179,157

258,263

15,123

21,506

308,502

5,460

—52,930

—29,582

—18,093

Outside operations, net

48,876
39,902
12,592
176,833

------

■

-18,093
1,697

—

—

5,460
1,161

-52,930
13,300

-29,582
12,658

-19,790

revenue

4,299
52

-66,231

—42,241

52

-Month

June

<

1912-13.

Final

147.353
63,565

136,687
49,927

1,530.350
649,348

1,356,093
614,655

218,443
54.881
26,094
6,939
88,832

2,516,327
551,425
364,852
82,101
1.341,491

2,273,729
285,989
314,050
77,258
1,185,365

203.515

194,311

2,405,457

110,869

—16

—-644

343.245
—690

24,116
3,758

110,225
43.727

342,554
35,436

20,981

20,358

66,497

"

Taxes

190

'•

-

Final net
Miles of road operated.———*

—Month

1 $13*

Grand Trunk Western

"

of June—
1912.

—July 1 to June 30—
1911-12.

1912-13.
'•

$<

$

$

4,124,332

313,768
187,999

4,777,592
2,238,742

Total, including other revenue..
Expenses—Maintenance of way...
Maintenance of equipment

546.031

6,666,804
655,621
956,842
227,890
3.295,826' 2,813,897

.........

2,126,605

Transportation expenses.......

681,355
86,594
101,459
23,671
302,498

19,554
"245,903

Total, Including general...—.

536,341

425,779

5,657,080

4.829,960

Net from railroad.—.......
OutBide operations, net.....—...

145,013
—1,652

120,252
—1,133

1,819,419
—22,098

J.,836,844

Total net revenue...........
Taxes
...

143,361
49,776

119,118
51,436

1,797,320
378,424

1,818,788
399,422

net...93,584
Miles of road operated...........
347

67,682
347

1,418,895

116

road operated-—

200,786
.

—30,666

—57,739
11,546

—30,666
11,467

—69.286

—42,134

59,1137
77,987

7,476,499

826,429
1,077,613
262,813

-Month of July——
.

Total, including other revenue-.28,018,908
Expenses—Maintenance of way—- 3,814,427
Maintenance of equipment-;
4,853,669
Traffic expenses
' 743,648

24,401,134
4,028,591
4,227,377

_

474,514
2^466,402
328,204
437,073

•

.

2,343,608
372,141

711,558

64,069

57,198

11,809,089 11,316,936
22,031,385 21,093,605

955,649
1,854,371

903,103
1,782,530

*

____

Transportation expenses
T^t-a*, including general.-

3,307,529

5,987,522

Net from railroad

—39,410

—_

Taxes

3,257,543
1,110,958

$

3,9io

22,000,184

1,959,971'

2,111,677

6,008,375
30,102,115

531,134
2,670,767

524,561
2,840,345

4,636,177

Freight revenue.——————25,219,771'
Passenger revenue—————— 6,471,566
Total, including other revenue—34,136,597

93,390
464,661

Month of July—
1913.
1912.
$
®

1911-12.
5
:•

1912-13.

^'qon

93,390
514,710
• 3,919

—July 1 to June 30—
St Louis Iron Mtn & Southern

-f—o,026

°

2,146,584

Final net—4,822.402
Miles of road operated-.—i.—...

11

61M§{}

—-3,930

—-49,986

5,948,112
1,125,710.

Outside operations, net---------.
Total net revenue—

1,712,673
461,990

1,794,174

17,514,171
4,654,067

355,468

Expenses—Maintenance of way-— 5,448,933
^Maintenance of equipment—— 5,006,518
Traffic expenses—.——..
681,519
Transportation flrpmiRes-—....10,719,357

463,504
57,469
855,069
1,810,787

4,094,409
646,455
9,951,377
Chiding general-.-.—22,667,611 20,186,986
-

Total,

1912.

1913.

^,

Freight revenue...—.----------20,528,497
Passenger revenue.------.------ 5,155,913

9,915,128

-—70,866

365.775

8,711.840
road on p. 33.)

888,015

—4,204

9,844,262
1,132,421

637,808

410,045
66,250
879, 278
1,952,330

859,980

-—53,594

Total net revenue-—.11,415,391
Taxes
1,188,638

758,490
3,364

11,468,986

Net from railroad

Outside operations, net.......—.

Final

net

—

.■

——10,226,753

4,465

883,550
90,795
792,755
3.318

97,285

—July 1 to June 30— ——Month °f
*
1913.
1912-13.
1911-12.
$
$
$
$
Company
3,754,145 3,824,350
39,514,355
Freight revenue
-----— .45,748,268
986,551,
Passenger revenue-———!-.. -11,627,479 10,662,442* 1,005,648
5,183,953
Total, including other revenue. .62,155,505 54,503,249" 5,137,169
909,949
683,672
9,263,360
8,664,768
Expenses—Maintenance of way-.
900,577
791,370
Maintenance of equipment
9,860,187
8,321,786
121,538
113,448
1,425,167
1,358,013
Traffic expenses
1,782,381
1,810,718
Transportation expenses.——. .22,528,446 21,268,313
3,665,158
3,734.860
.44,698,996 41,280,591
Total, including general

*19^2."

Total

1,419,366

....

'

or

Miles of road Operated..(Sas this

Freight revenue...
424,752
Passenger revenue..220,733

...

—1,661
116

102,264

"

1,065

—July 1 to June 30—
1912-13.
1911-12.

s

32,359
—134

revenue.—.——.——"

expenses..

—596

—10,750

————.

Missouri Pacific

307,117

190

^

Net from railroad
Outside operations, net

Traffic

net.

"

1,930,483

24,132

32,225
11,243

—

Miles

S

235,874
35,179
36,898
7,509
113.019

....

————._

Total, Including other revenue. .~
Expenses—Maintenance of way
Maintenance of equipment—...

Total, including general—

—9,715
1,034

—-

1911-12.

S

Haven & Milw

expenses...

—57,739

-

769

——:

....—

—July 1 to June 30—

1912.

1913.

Total net

62,926

------

------

Transportation expenses.

—596

Total net revenue——

287,846

«

„

Total, including general.

Traffic

Outside operations, net-

$

32,535

Transportation expenses.

Freight revenue...
Passenger revenue.

—9,715

Cr510

Missouri Pacific System
-July 1 to June 30—
1911-12.
1912-13.

17,785
6,047

Traffic expenses

Detroit Grand

32,297

$

,

————

Final net——
Miles of road operated

232,714

5,578

.

719

——

6p
June—

1913.

.

7,119
13.212

33,111

83,429

v.

Net from railroad.

8,971

.......—

Net from railroad

170,120
58,402
24,983
8,318

20,861

7,954
2,186

Total, Including general—

115,726

3,174
8,735

Saginaw & Mackinaw

revenue...

expenses

119,530

174,975
66,160
34,457
8,017
115,851

12.616

H.146

.

Transportation expenses. .——

115,726

-14,665
3,230

-Month of

Total net
Taxes

804,863

123,282

—17,895

revenue

————;—

Passenger

,860,944

Traffic

118,437
35,939

-•

8,515
1,702

.

$

$

$

6,943
1,829

*.

Total, including other revenueExpenses—Maintenance of way—
Maintenance of equipment.-.-.

Taxes..

Miles of road operated—-.--

Freight

459,802

—

net-

Cincin

920,590
152,251
151,014
22,476

11,909

Outside operations, net

Final

984,226
113,054
150,842
23,627
552,626

58,289

Total, Including general—
Net from railroad..—
Total
Taxes

526,655
213,159

634,165
205,023

14,991

if

Transportation expenses—..—

1911-12.

1912-13.

36,387

69,936
20,942
15,236

Expenses—Maintenance of way...

—July, 1 to June 30—

$

■

53,136
12,463

revenue....—.....

Passenger

"

1912.

.$

Toledo Saginaw & Muskegon
Freight revenue......—Passenger revenue*

.

.

.

.

,

.....

—

—..

Final

-Month
1913.

Michigan Air Lint
Freight

revenue.....—........
revenue
........

Passenger
,

Total, Including other revenue.

Expenses—Maintenance of way..
,

Maintenance of

Traffic

equipment..—

expenses

........

Transportation expenses......

of June—
1912.

-

!
,

Final

revenue——.—.

•

19.272
4,226
2,786
1,150

193,681
52,110
43,207
12,489

9,788

136,921

119,202
43,130

s

.

-

181,398
42,410
40,476
12,402
114,042

Traffic

219,470
-38,071

Net from railroad.

Total net revenue—..........

-10,832
3,419

172

-I-62.674
12.958

-38,071

Total net
Taxes

-14,252

-584
105

—75,633

—48,477




Outside operations,

10,405

1912-13.
I
65.482

39,150

67,518
39,333

6.309
1,751
8,132

113,523
18,519
21,986
1,213
32.500

1911-12.
S

'2,423

2,204

7,903

12,960

80,574

82.182

—906

..

..

7.236

111>308
22,218
17,271
1,167
31,199

—6,651

30,734

31.341

2,973

,

116

197

——...

1,257,41$

2,941

.

6,996
1,450

Total, including general- .*'■

256,356

1,441,601
184,185

*2,747

1912.

3,165

expenses—

Transportation expenses

.1,449,092
—7,491

—July 1 to Jun e 30—

of June—*

*3,476

Total, including other revenue.

—627674

tor
105 A

-15,049,155 10,858,424

Expenses—*Maintenance of way—
/ Maintenance of equipment

1?2

Miles ©f road operated——...

—8,134,
190,675

Freight revenue
——
Passenger revenue—.—

18,900

956

1,463,885

1913.

23,986

net.....——

1,472,010

13,101,8051

1,273,200
7,283

Arkansas Central

$

-10,832

Final

13.222,657
—120,852

2,243,379

1911-12.

1912-13.

Total, including general.....

Taxes.—..———————

———.

17,363,503
2,314,348

-Month

Net from railroad
.... ......
Outside operations, net—.......
.

.

-

——

net—

/ -1-93,004

—July 1 to June 30—

127,045
44,292

,

Total net
Taxes

Miles of road operated—— .(Sm this road on p. 31.)

14,240
3,002

2.958

Net from railroad..———.—. .17,456,508
Outside operations, net—.—..

—

$

^,588
13,154
6,593
3,474
1,143
11,679

—18,055

'
-

r

neti—......
—6,651
2,273

revenue——. .

,

30,734
9,192

.

31.341
10,899

1

-

Final

net-....———»...

Miles of road operated———.

1

•

1

H 00

o*s« *o«a

—8.924
46

-

21.541

20.441

8

RAILWAY EARNINGS
New

York Central

«

v

System

—July 1 to June 30—

—July 1 to June 30—

i

1912-13.

~

Month of
1913.

1911-12.

N Y Central & Hudson River '
#
$
Includes St Lawren ee & Adirondack and N. Y .&l)ttawa from J an.
Freight revenues.
68,504,194 61,262,436
5,579,457
J'tesenger reyenue
34,263,649 32,080,520
3,498,395

*'

83,733,116 76.694,273

7,560,603

6,505,52^

2,544,206
-35,004

31,244,853 28,173,835

2,634,617

5,909,322

2,509,202
535,283

-—24,971,214 22,264,512
(See thtoroad. on p. 31)

revenue

1,973,918
3,749

6,273,639

-

.

v-

,

June— —July

of

Final

1912-13.

296,183

315,190
46,341
85,466
7,429
107,968

4,407,457
571.382
1,120,673
97,171
1,524,781

3,975,556
559,508
1,145,297
90,540
1,458,533

r

Total, including other revenue._
Expenses—Maintenance of way--1
Maintenance of equipmentTraffic expenses
:

340,536
46,260

104,783
7,371
128,991

-—_

expenses

Total, including general-—__
Net from railroad
Outside operations, net
Total net
Taxes
Final

292,606

mmd-mtmm

-

-

692

5,074
982,536
195,401

—

net

....

787,135
47,722
358 (See this road

——

i

358

—July 1 to June 30
1912-13.
$

Chicago Kalamazoo & Sag
Freight revenue..
Passenger revenue
I

5,991

204,721
29,868

20,087
r 3,588
1,584

5,707

495

4,641

4,286

139,315

10,870

9,644

65,405

9,217

86,025
13,419

65,405
13,247

9,217
1,100

6,072
1,091

52,158

8,117

Total net

44

revenue

.

.

net__

.

——

4,291,563

416,892

366,465

1,258,650

78,744

93,290

1,258,650
235,032

78,744

93,290
20,495

1,182,238

.

1,023,618

56,606

.(See this road

22,138

of June
1912.

1,194,638

—July 1 to June 30—
'

1912-13.

$

revenue.-.

21>

-

—

Cincinnati

Northern

*

1,610,281

4,433,597 58,272,051 50,661,873
619,810
5.655,083
7,148,004
820,899 10,363,121
8,255.520
87,510
1,020,739
987,347
1,358,737 18,965,468 16,818,101

3,444.861

2,970,908 38,543,617 32,662,750

1,383,031
19,845

1,462,689 19,728,434
17,053
172,036

1,402,876

1,479,742 19,900,470 18,002,453
140,000
1,831,097
1,703,939

—

Transportation

expenses

Total, including general
Net from railroad
Outside operations, net

Total net
Final

*

revenue
-

150,000

—

net

1,252,876
1,872

-

Miles of road operated.--—

1,775 (See this road

1,416,922

285,723
32,565
567,867

1,215,782

1,171,595

201,139

153,151

expenses

Total, including general
Outside operations, net
Total net
Taxes

—

-

2,709

52.074
122,264

153,151

-9.298

66.891

"

5,500

13,675
5,300

—14,798
244

(See this road

86,260
p. 31)

on

$

$

'

$

-23,181,394 20,370,625

1,927,122
804,469

1,664,924
715,640

Total, Including other revenue -33,983.300 30,700,844
Expenses—Maintenance of way4,795,550
3,555,981
Maintenance of equipment
6,785,848
5,172,076
862,526
908,299
-13,708,573 12,439,595

3,002,282
582,726
778,604
74,217
1,288,519

2,602,070
363,146
439,480
68,283
1,000,481

.26,859,000 22,738,504

2,795,638

1,927,938

7,934,289

-

•

-

-

expenses

:

-

expenses

Total, including general
Net from railroad

7,124,300
—13,366

—

revenue

<

7,966,339
—33.968

2667644

674,131

3.637

—339

7,110,933

Outside operations, net

7,928,371
1,152,512

210,282
103,800

673,792
95,000

6,775,858

106,482

578,792

-2,013

i

5,867,890

.

,

.(See this road

3-1)

on p.

•'—July 1 to June 30—
1912-13.
$

Detroit & Charlevoix RR Co
i

expenses

;

.

.

expenses.

_

Total, including general..
Outside operations, net.Tetal net
Taxes

revenue.

—.

-

-

^

«

«

.

.

1,019

—I—1

....

.23,018,013 20,267,920
8,795,392
7,952,825
.

Total, including other revenue- .35^79,497 31,342,468
Expenses—Maintenance of way..
4499,116
3,424,355
Maintenance of equipment
5,170,761
4,232,529
Traffic expenses
;
801,006
770,920
Transportation expenses
44,110,794 12,461,698
.

.

.

fotal, Including general
Net from railroad.

.24,906,202 21,438,107

.

,

Outside operations, net

10,473,294
" 17,251

1

78,418

7,377

.

1,222

612
42

■

of June—
1912.

$

i

1,481

610

New York

<.
•

875
43

0p6T&tGd.

9,931,606

1912-13.
i

$

:■

-

1911-12.

1412497
.1,254,596
: 562,595
4,879,986

163,461
175,232
52,407
415,452

>1,179
>5,132

8,216,757

824,623

712,884
,148,467
—1,182

3.376,716
—22,759

3,353,956
388,674

-

Miles of road operated——

90,287

(See this road

»

**

*

mi.

mJ'ik

********

5,923..
1,175

73,028
13,476

63,149
18,185

4,748

59351

44,964




5,799
90

...

•

90

k

,

*

111-275
563

564

—Month of
1913.

2,612,731
715,715

2,225,413
705,217

3,568,498
547,615
694,533
65,620
1,397,871

3,160,452

1,331,545

263,736
52,013
76,923
4,712
116,697

2,766,148

2,355,676""

256,238

804,776

TA97

-

-422,286
471,871
60,922

185,931
57,822

169,746
61,094
s

263,236
1

41,181
39,645
4A78
101,209

k

Total, including general.—.

Net from railroad
1—
Outside operations, net———_
Total net revenue——*.Taxes
'

1

<147,275
36 000

36,000

31)

~
1911-12.
$

$

Total, including other revenue.
Expenses—Maintenance of way_.
!
Maintenance of equipment
Traffic expenses
—14
Transportation expenses*.

7,071
1,272

pa p.

"-July 1 to June 30—

Freight revenue. —
Passenger revenue...

63,149

—

13?>,326
12< 1,609

126,28*7"

2,965,282

II

156]1,341

..

128,253
—1,965

2,887,278

—

——-

net

208,044
80,297

73,028

...

665,6
160,6

166,530

3,285 .440
405 ,162
.

Final

330,398
87,117
19,159
7,959
145,440

5^23

———'

*74$,793
'952,876

9,311,189

—

Total net revenue.r.
Taxes —.—

267,249

-

Month of July
1912.

1913.

9,626,329
1,526,276

1912-13.

298,233

* Final
net—
Miles of road operated

1.816

11,593,474

Peoria & Eastern

23,190

———"

'

1461,238
1,746,794

Outside operations, net-—-—

244,644
80,713

210

31.)

10,642,857
1,551,086

.

29,114
7,830
2,112
.

cm p.

687*622

3,311,954
—22,513

Total, including general

31,209
: 9,499
1,124
17

803.622
116,000

116,000

548,069
1,819

12,623,143

_

Transportation expenses——

-

7,071

revenue

799,97
3,64

594,682
5,396,634

_

—1

Maintenance of equipment
Traffic expenses
..

1911-12.
$

24,138

Total net
Taxes

1,899,263

664,069

1,378,370

8,553,235

Chicago & St Louia

18,654
6,310

Total, including general

f

2,299,279

14(66,984

.(See this road

20,110
6,904

12,296

Net from railroad—
——
"
Outside operations, net.---------

'

2,966,086 .2,699,236
471,133
338421
515,304
391,928
59,118
68,897
1,202,468
1,054,305

9,123,561

.

—July 1 to June 30—

13,692

Transportation

—

l,6n,117
829,430

666,807
—2,738

.10,490,546
__

-—r—

Total, including other revenueExpenses—Maintenance of way

606

expenses.

equipment.——

expenses

—

*>kkk*s**

1,222

%'

net

Miles of ro&d

5,138

1,481

**>** +

•

22,681
7,131

.

Final

,

Net from railroad..

22,681
.*mmm****m

.15,549

1

Total net revenue.—
Taxes -------j.i

"1,974

371,262
86,471
40,879
6,692
158,024

Traffic

1,724,374
946,863

9,904,360
27,245

'

Total, including other revenueExpenses—Maintenance of way...

Month of

1913.

$

Freight revenue
Passenger revenue!

505

3,760

47,626

1913. f
——

...

•

1912-13.

6,620
2,518

1,136

.

-Month

0 Maintenance of

...

...

Central

Freight revenue—.
Passenger revenue.—

8,599

8,435
7,298

1

—.

Alleg Vail & Pitts

Freight revenue.
Passenger revenue

,

——_

—July 1 to June 30—
11912-13.
1911-12.

Michigan

196

•-***-

-

—

Miles of road operated

|

2,391

.

ties of road op6r8it6(l«^

Dunkirk

>"•' ■"

______

-July 1 to June 30—

1912.

7,090
1,221

101,099
21,501
6438

8,435
—

—1—

J*1 Final net

m****i.4+<*,*k

railroad.———

-

88,237
9,227

,

82,767

Net from railroad.-.-.-—

1913.
$

$

91,202
22314
9,225
59
47,641

Maintenance of equipment

Transportation

-

—

>

Month of July

1911-12.

77,350
10,347

.

-

Total, including other revenue..
Expenses—Maintenance of way
Traffic

—

2,011

1,243,042

—_

Miles of road operated

I

49?

14,160

Total net revenue

■

■

7,693,709

Freight revenue.—..*
Passenger revenue

Net from

13,48?
:•,

8,375
244

135,277

net...

18,262

501

—

Cleve Cin Chic & St Louis
Freight revenue
•
Passenger revenue

Final

199,751

Total, including-general-.

13,675

—July 1 to June 30— -—Month of July
1912-13.*
1911-12.
1913.

Total net
Taxes

15*180

*

Outside operations, net

201,139
65,862

net

Transportation

162,823
6,290

—

expenses.—....

Taxes

Miles of road operated

Traffic

expenses

Transportation

93,777

—9,298'

Traffic

$

251,679

Expenses—Maintenance of way
Maintenance of equipment

1

1912.

212,143
>7' 6,734

.

Total, Including other revenue..

107,452
22,121
22,205
2,747
43,627

1913.
$

-

revenue

—

Final

77,175
24.217

112,966
25,247
38,750

1,324,747
247,764

297,575
31,713
585,007

expenses

Net from railroad..

81,512
24,696

■*.

261,441

.

Transportation

revenue

1,048,571
213,409

$

'*

21)

oa p.

—Month of July

1911-12.

*

Louisv &;Jeffersonv Bridge
Freight revenue

17,999,122
3,330

1,339,742 18,069,373 16.298,513

1912-13.

—Month of July——
1912.
1913.

Sf

211,662

,

Traffic

*

1,130,107

Total, Including other revenue
Expenses—Maintenance of way
Maintenance of equipment-—

1911-12.

$

2,851,864 39,376,126 33,181,657
1,068,517 12,504,785 11,551,407

—July 1 to June 30
—July 1 to June 301912-13.*
1911-12.

Freight revenue.
Passenger revenue

72,795
886

905

31)

on p.

44

.

net..

Miles of road operated

—...

459,755
76,623
87,320
13,577
177,719

1,429,507
247,269

.

*

495.637
94,840
102,895
12,239
194,079

1,429,507

.

expenses—

Taxes

revenue
-

Final

expenses

890,638

4,981

Net from railroad. _j
Outside operations, net
Taxes

1 '
'

S

5,550,213
801,085
1,003,127
146,391
2,206,739

3,099,610

6,072

July

$

350,804
81,697

Total, Including other revenue._ 4,827,892
Expenses—Maintenance of way.
722,825
Maintenance of equipment
913,570
Traffic expenses
88,129

"

Total, including general

$

382,993
83,452

—Month
1913.

445

66,528

5,560

4,632,819

.

Miles of road operated

15,717
2,773
1,245

161,845

—Month of
1913.

6,062,326
894,907
1,138,282
143,301
2,315.227

Final

2,622

.

4,350,464

Taxes

3,598
5,559

124,990

1

expenses

104

Passenger

4,379

86,025

expenses.

Transportation

78,190

4,843,414
888,375

Total net

.*

5

211,015
30,775
20,075
5,642
61,754

Expenses—Maintenance of way
V Mintenance
of equipment-

54,667

Lake Shore & Mich Southern
Freight revenue.
;;

47,217
45,762

46,489

other revenue.-

685,266

.

»

241,08?
29,23?
34,52(

127,816

1911-12.

Net from railroad
Outside operations, net.

-—Month of
1913.

$.

.

51,917

83,760

872,213

470,650
on p. 31)

72,606

j. Total, including
Traffic

1911-12.

60,167
5,500

1912-13.
S

Total, includinggeneral

623,749
153,098

977,462

60,139

740,084
54,817

-

._

Transportation

620,079
3,669

60,722
13,000

33,339

'

Miles of road operated

583

48,622
15,282

-

revenue

79,243
4,507

938,767
66,553

revenue

net

Traffic

3,355,476

3,429,994

255,050

47,930

*

58,278
1.888

Total, Including other revenue.
Expenses—Maintenance of way.*
Maintenance of equipment

1911-12.

3,529,632

303,952

708,722
31,361

Freight revenue.——
Passenger revenue

1 to June 30—

3,936,914

1,918,2ftl

215,868

104

-

~

July 1 to June 30-

$

24,884

...

Transportation

2,314,923

.

Miles of road operated-—-;

524,009

281,502
24,458

1912.

$

302,299

,.

274,146
51,201
26,764

917,301
21,466

_

expenses.—

Lake Erie & Western

Month
1913

Chicago Indiana & Southern
Freight revenue.
Passenger revenue.

Total net
Taxes

$

2,626,983
317,142
295,123
33,152
1,186,857

389,744
387,268
32,025
1,422,549

2,110,607
3,594

•

Final net---.—
Miles of road operated

3,232,225

Net from railroad.
Outside operations, net--

2,667.784
-33,167

Net from railroad
—
Outside operations, net
Total net
Taxes

215.004

$

."—-•I

Total, Including general-

3,138,151

30,870,053 27,903,105
374,800
270,729

expenses.

Transportation

$

—

Total, including other revenueExpenses—-Maintenance of way
Maintenance of equipment
Traffic

xcvii.

—Month of July
1913.
1912.

1911-12.
.•

—

9,173,306
1,294,549
1,617,760

104597,379 10,104,810
13,863,788
1,616,209
21,329,112 18,360,205
1,920,245
expenses
—....
2,226,917
2,274,560
210,643
Transportation expenses
41,628,703 39,474,657
3,558,765

Traffic

Total, Including general-

1912.

5,077,089
3,153.951

Maintenance of equipment-

1912-13.

Indiana Harbor Belt
Freight revenue
Passenger revenue

July

11913*

Total, Including other revenue..114603169
®35lei?se»—Maintenance of way—15,701,149

_

[Vol.

Final

—i-——
net———-—

Miles of road operated——.

V

802449

*-

802,349
131,148

J 671,201

<

(See this road

m.

M

*i

7,497
10,400

687,773

-2,902
351

33)

71,010
——i

I#

804,776
117,002
oa p,

192,226
>

1

71,010
9,800

61,210
<•'

351

EAILWAY EABNINGS

Sept.,,1913.

NeW York Cfctatr&l System—Concluded
-July 1 to June SO-'
•"Wii.£_«-

■

p'V"

_Pitcsburgh,& Lake Erie
,
*
■$
$
freight revenue
———17,580,901 14,385,902
Passenger revenue
—,• J-—. rj,727,468
i;525,101
-'
Total, Including other revenue..20,040,507 16,441,699

"['$

.

s

\

1,450,124

'

193,147

774,214

798,612

893,050

282

—741

798,895
57,600

892,309

415,426

7,700,226
>301,295

9,638,097

7,398,930

741,895

861,309

222

215

Miles of road operated

176,704
121,848,

172,013
'111*971

347,792
42,702

328,314

—

10,053,523

Taxes
Final net
;...
#
Miles of road operated.
.

(See this road

—5,985

on p.

-

*

31.)

■Rutland

,

-

.

>

w

1,206.990

r

Total, Including other revenue.. 3,706,981
Expenses—Maintenance of way...
460,617
Maintenance of equipment
765,573
Traffic expenses.*.
.100,776
Transportation expenses.....*. 1,481,472

1^:341

Total, Including general...... 2,891,183

2,567,000

255,100

893,170

92.691

Net from railroad..
Outside operations, net..——
Total net revenue————.
Taxes

623,570

815,797

181,809

Total, including other revenue.. 5,672,732
Expenses—Maintenance of way...
849.494
Maintenance of equipment
1,042,273
Traffic expenses.;
83.586
■.*.—.
Transportation expenses.^..;., 1,985,584
f

Total, including general*..

,

Net from railroad*
Outside operations* net
;
Total net
Taxes

Freight

89,200
7*684
159,565

447,656

'346.957

k,

,

„y,,f

.

'»

—922

.

———

Total, Including other revenue.."
Expenses—Maintenance of way..
Maintenance of equipment

*

54,076

37,293

:

1

*

I

J

'

'

m

«« m mrn -m — »

«f

1

^

1.918

7,086
490

1,918
240

15,079

6*595

1.671

10,438
3,591
241

""

40,356

v

l'lU '
-487

468*323

'

I

128,669

144,203
141,800

—.

11,150

14,171
27,659

122*443

318,657
70,545
28,163
7,471

25,786

131,876

280,960
56,517
21,457
5,976
113,192

246,799

204,678

71,857

76,282
123,203

22,028

12,221
26*755

199,545
19,086

37,012
2,096

38,977
1*921

34,916
87

37,055

ix.L..

_•

.

—.

134.712

Total net revenue
Taxes

206,570

—-——

23.U60

..........

Final net.
.........

45,578
10,002

16,573

!
183,509.
(See this road

27.989

14,984

180,459
31.)

.

15,974

30.593

40,210
7,122
2,955
1*082

2,101
1,310

■

.

■

173,832

%§

4,510

43,213
28*953
6,473
610

.

102,341

34*192
.9,452

*

oa p.

87

16,934

,41.217

—*■9,538

—r9i538

-J,225

9,543

8,653

2.610
142,830

Net from.raihroad—
Outside operations, net—_

..

c"2*250

369

12,343,

13.633

248.686

,,

24,944

25,165

387

BS"

13088

125,545

59,886

"

125,545

59,886
,14,599

6.566

15*722

Total

.—"

109,822

45,287

X192

IiM2

26

26

net revenue

Taxes

1—4,453

-1U7U

Miles of road operated....*......

'

5*248
3*063
6*630

2,045
120,484

288,472

Total, induding, general

Vr

———

1 axes __..j,**___.

8,047

23,055
9,668

31,510
2,488
8,228

27,602
83,337

TrafficexpenSes
Transportation expenses.....

—2,203

32,563

37,735

,

i§j083
1*400

1,373
"

'1

89

Final net
Miles of road operated

New York New Haven & Hartford System V.v"V'i
Month of June — ■ —July 1 to Jufie 30^j N Y N H & Hartford
Freight revenue ***.*..***-.
2,317,229- 2,841*311 34*071 ;974 32,130,891

-r

Passenger

•'.*.*

'•

*

{

-

••'v

...—.

.

Cumberland Valley

^

.

i

187,456

^27

2,406*811 27*896,300 26,816*435

Passenger revenue

2,235; 52
.658; 53

212,

2,483,035

Total* including other revenue._ 6,415,751
Expenses—Maintenance of Way
694,130
Maintenance of equipment
818,584
Traffic expenses *—t—
206,952
Transportation expenses....... 1,614,232

5,827,209 68,013,503 64,933,064
737,772
7*893,090
6,829,360
885,369
9*600,668
8,046*991
71,303
.
582,310
412,880
2,094*091 27,203,270 25,163,819

j' Tptal, induding other revenue-. 3,521,447
620,192
Expenses—Maintenance of way—
419,383
Maintenance or equipment.—..
Traffic expansesw
,53099
Transportation,expenses....—. 1,163,646

3,034,351

287v

Freight

**...

~

revenue

J \

-

•^ •

3,384.406

"2,002,08

tto

1,805,326
2,090

mm mm

Taxes

—

4»W

mi'm,*>

^4

■'U Final

iitU
Miles of road operated

w

...

252.001

297,3^6

revenue--

Expenses—Maintenance of way
Maintenance of equipment.
Traffic expenses ...—a*

.

150,470

1,965,243

68

123,039
14,513

if iT Ontario

Freight revenue

Passenger

ds Western

•

-

.*....*.*.***._.

revenue

**f.**.**.*...

1,739,341
124,513

137,465

1*614,828

276

Miles of road operated.

151*204
13,738

108,526

———i—»*

,,

:760
83,790

1911,971

92,153

70f8

162

162

Total; Including other reVtoue.. 9*454,349
Expenses—Maintenance of way... 1,191,797
Maintenance of equipment..... 1,508,832
Traffic expenses ....*.*.***._.
134,166
Transportation expense*..*... 3*468,222

8,527,944

987,903
138,067
134,699

1,266,412

1,533,195

614.979
372,924
2,890

Total net revenue—
Taxes

—33il0

—32,318

484,678

8,358,027

8*037,691

817.137

"WW

3,283,855
514,866

2,715,331
,679,46?

690,129
476

614*857
92,644

3,798,722

3,394,794

717,821

'624,144

690,606
63,660

707*501
56,450

3,080,900

2,770,649

626,946

651,051

pf road operated—..(See this road on p. 31)

398

398

Total net

^

Taxes

.

Final het

Miles

375,814
19,000
356,814
565

Union

on

jp. XI)

—^
-

125,971

*

Total, including other revenue..

Expenses—Maintenance of way...
Maintenance of equipment
Traffic expenses
Transportation expenses.

... ...

-605

.

58,091

5,307

83*062

8,958

30,829

-

12,884

52,782

49,076

23,897
0»541
82,627

19,030
4,726
65,233

18,359
7,024
1,896

mm mm

85,881

Net from railroad
Outside operations,, net._

xtt...

...

>,v

42,466

Total net revenue.
Taxes

42,466
6.532

Flhal net
Miles of road

35.934

_

operated—




.

140,899

20,385

17,664

—6,753

-1,743
25,400

23,387

23,663
463

24,083
467

23,200
83

23,615

32.)

1,316,973
27,688

12S ,131
,173

nislsoe

1,362,486

134,563
21,167
6,080

120,797
23,805
12,732

-----

Taxes

—

Final net

...

k'«>W

«

•

*•

"

""

4,056

-«*

'

23,958

-

-•

—

4.056
--575
CO

00

frtN

-

4. W

575
2

Total,

'Final net

2,384

301

288

279,039

25,106

24,139

617,961

54,837,

62,915

744,525

79,726

57,882

1,007,475

30,443

744,525
29,429

79*726
2,350

57,882
2.000

......

977.032

715,095

77,376
60

.

mm

Taxes.......
*•

83

1,007,475

Total net revenue.-..-...——

Miles of road op&ated

695

674,384

Net from railroad—
Outside operations, net..—

,

p.

199,556
111,896
4,164

4,238

induding general

.

-

3*417

1,681,860
212,154
113,982

318,936

Km
.

31,021

•'Transportation expenses..

3,992
«.

ih\

30,829
6*871

1,628,301
—--

Traffic expenses

6,467

5,335
97,528

108,288

...(See this road on

•

50

.

1

—

—

Miles of road operated.

109,617
102,863

113*899
5,611

Total net revenue--^-—-

4,692
^

782

7,733

167,975

Total, Including general

'

Total, including general.....

4,175

•

Net fromrailroad—, —15,021
Outside operations, net—128,921

563
>

5,206
11,951

Transportation expenses..

720

.

58,069'

.

.18,642
7,807
2,046
1,013
9,255

Total, Including other revenue..
Expenses—Maintenance of way..
Maintenance of equipment

1,61.9

...

64,068

Freight revenue
Passenger Revenue

50

52,987

9,995
623

...

A

70,543

-

10,459

13,015
1,540

.

,

Maintenance of equipment..*,..
Trafficexpenses—

•-■a.'

113,891
14,837
9,065

128,348
11,730

.

Expenses—Maintenance of, way—

'

1

*•

32,795

134,145

-

10,271

12,919

112,129
-

115,384

68,672

w*

^Monongahela
.„P....

158,401

Total, including other revenue.15,953

Freight

passenger revenue

———

.....

Freight revenue
Passenger revenue

418,144
565

(See this road

-

Maryland Delaware Virginia

; 18,166

1,764,066

-

.

.

—

Final net

436,310

1,985,992
221,926

2,691,897

.......

revenue-

.. *..

—

...

109

2,922,989
231,092
.

.

278*243
991,479

Total, including genefal

436,201

Outside operations, net..........

261,954

1,317,864
128,549
110,934
19,709
421,453

541,579

2,019.402

t

1,507.267

Net from railroad.
Outside operations, net.

100,441
118*092
■; 9*664
295,680

6,508,541

revenue

j,083.995,

WT781

6,499,040

Total, Including general

^" •"
'
.
3,462,812 3,282,890
.7,552,984 7,023,189

■

5,611

^

1,579*337

Net from railroad................ 2,955,308

:

—...

1,697,075
117*738

3,366,316

1,095,981

.........

.....

.—4,706

12,366
309,614

"132,469

-

71,239

83*029

Total, including other revenue..i 1,641,883 10,752,423
Expenses—Maintenancepf way... 1,555,765
1,423,389
Maintenance of equipment..... 1,320,190# 1,310,083
,170.288
155,953
Trafficexpenses^...—
4,876,110
5,010,386
Transportation expenses

-—Month 6f July
»■
600,323
632,329
330,124
298,551

*July 1 to June 30—
7.311,127
6,545,776
1,689,674 1,633,910

178:289

97,858
5,702

1,167,221

revenue—v.—.*.—

Passenger revenue1.

276

.

189,585

"

..

1*701*781

-262

1,743.727
1,385

u

'

982,13'2
70,160

,Totd net

1,766,843

151,135

——

'A

994,770

122,777

.... _,.....

Total net revenue*..***..**....
Taxes
——
Final net

7$,377

,4,867
80,562

88! 197

983,423

'238

Freight

3*468,625
500*792
268,754
,.14,702
949,005

—

. . ..

64*001

31,770
«

97,617 T

Final net

335,266

.....

Net from railroad
Outside operations, net***
.

3*708,970
558*156
350,957
14,985.

63,961
24,916

^:p|
978,122
4,009

TkXfes

2*957,883

71, 982
174,649

expenses ... .

Total, including general

-

3,166.657
' 360,203

.

301,605
47*998
20,181

66,473
26.312
1,805

....

Transportation;

255.; ?9
,29,i §

30,297

261,319

2,056,228

AXo&e Island-•...

———

Total, including other

'

■m-ki

•,

60,004

2

2,355,375

.

Central New England

Freight revenue
Passenger revenue

04.146

Miles pf road operated—...——(See this road on p. 31)

2,042,207-18,316,855 20.424,329
2,090

mm m

Total Pet revenue*-.*-*.*.

-

including general

Total,

2,335,070 22,031*611 24,217,202
292,872
3,714,755
3,792,872

».

692,190
_

Net from railroad........ —..—. 1,166,071
Outside operations, net.,,...
.. '
V ,,1,149

2,204,697 21,386,164 22,829,046
130,482 ,-' 645,447
1*388*155

196,755

—

revenue

-

3,622,612 47,227,338 42.104*017

2,031,34
—29,2(

Total, Including general .-*...'

NHfrora railroad.
Outside operations, net

-

20,891

308,573

31,634
95,084

—2*203

41,217

414,018

36,395

;

427*106

37,735

net.....*...._
revenue.——...——"

34,497

Total, including othor revenue..
Expenses—Maintenance of wayMaintenance xtf equipment.....

———

—

13,099

62,752

422,379

351,6^9

258,608
33,954

FreightrevenUa
Passenger revenue

824

-

;

U

Cornwall & Lebanon

.

ll*541

28,191

Jotal, including general..."*"

>-Total net

■

5

5

;•

.

Chesapeake & Atlantic

Net from railroad

28,585

,4,721

52,916

Net from railroad.————
Outside operations,

■

7,086

19,451
4,372

Outside operations, net.——..

442

400,834

177,470

Traffic expenses
Transportation expenses.,*,*,*.—_

I

.19,451

50,407
'
4,051

13,639
.

},

460,114"
110.515
117,226
•7,652

.

•

8,519

'

Total, including general

115,838

442

6,553

10.270

Transportation expenses.—

—678

116,802

129

"4,088

82,610

50,407

....—.

m — •

Traffic expenses

136*132
20,294

-

284

4,113

88,658

13,166

'

361,138

.

;

587,439

4,994
1,082
46,039

28,403

revenue

Miles of road operated

'

on p.

102,062
37,218
1,022
1,605
39,600

f

Total, including other revenue..
Expenses—Maintenance of way—,
Maintenance of equipment—...

136,900

138,306
21*504

1,330,102
lr196,249
.(See this road on p. 31.)

revenue

Passenger revenue

-

-

100,703,

————.

Freight revenue..
Passenger revenue

55,613

139,229

....

Zanesville & Western

r_,

96,286
7,704
211,174

^

Rait

483,857
81*482

247,454

.

1

•,

400,688

-

l,443r704

590,093

3,905,258
3,871,089
31)
4,031
4,021

139,065

Final net
'«•
tm pt m «
Miles of road operated.———.

468

586,885
122,325

260,154

Final net——
Miles of road operated

Total net
Taies

i

5,249,427
831,159
945,759
76,967
1,839,747

revenue.*........*.." 1,590,256

—

-

134,119

Net frbm railroad
Outside operations* net...

— «««

468

1,452,994
-^-9,290

4,459,129

...

Total, including general

84,185

488,336
30,574

1,599,709
*9*453

4,555,291
—96,161

4,495,351

Point

Transportation expenses.......

V\

3,796*433

4,073,023

(See this rpad

....—

Traffic expenses

06,868
12,682

75,651'>

.

......1.

Expenses—Maintenance of way*..
Maintenance of equipment.,

96.868
—

,024

t-

4,671.357
^•176,006

.§97385,046 -37,021,387

'T6tkl,; including Other revtfnie..

■

231,445

-15.

4,362,210630,514

.46,660,341 44,042,419
.7,281,294
7,021,031

............

Baltimore & Sparrow's

:

.675

Toledo & Ohio Central
Freight revenue*...^..**..*.*.. 4,733,227
Passenger revenue—
.......
.630,655

11,266^422 10,111,443

—1,409,534—1*451,131

—

Freight revenue
Passenger revenue

'59.942
9,252
121,863

:

Final net
; 633,988
rt£uuu, 'no*-——OJO,y»a "" 757,350,
Miles of road Operated........... (See this read on p. 33)

i

...... ......

,33,990

65*973

,

815,797.

+

Total net revenue
Taxes

31,000

10,618
128, 986

-

T.

3,160,157

.

.48,075,875 46,093,551
—.

10,522,525

3,458,890

164191 ,^4'g 15,937,780 i4,006,734
18,619,832
2,005,781
1.886.165
32,650,320
3,076,923
2,^51,464
230.735
205,178
-2,271,059
60,377,905 ,5.587,039
4,935,032

.133755027 118098,295

....

Net from railroadii.
Outside operations, net

• •

revenue.*.—2,021,165
revenue—

.

Total, including general

»

1912.

l.

-

Freight

.36,733,719/34,247,663

Finalnet-..—i.—

7,706,2ff

—_—.10,058495
*—4,672

Outside operations, net.*.——

Total net revenue.,

,.15,187

.

,19|3.

.1330525^3 119005,819 11.468.262
—.—

943,516

8,735,488

Month of July

191^12.

Total, including other revenue. .181830903
Expenses—Maintenance of Way.. .23,563,816
Maintenance of equipment
.38,343,625
Traffic expenses
2,389,206
T—.
.65,147,217
Transportation expenses..

396,851

Total, including general—9,982,311

187,313
315.613

2,616,371
154,347
3,903,005

—

—158,022

Net from railroad.

—July l fb June 30—
1912-13.

.,'<■,

Passenger revenue

154,389

'

.\U<. i

Pennsylvania Railroad
Freight revenue ~ry.—

•

1,742,129

" 1,774,968

Transportation expenses..*.—; 4,494,522

Traffic- expenses

-

•

1,667,265
172,129
240,384
12,966
324,175

Expenses—Maintenance of Way... 1,946,831
Maintenance .Of equipment
3,058,529

t,1

"
,

1,486,996

,

: n

Pennsylvania System—Eastern Lined

Month Of
1913.

1911-12.

1912-13.

'

'X'v*■'

<

.

•

55,882
64

10

RAILWAY EARNINGS

[Vol.
—Month
1913.

Pennsylvania System—Eastern Lines- -Concluded.
•—•Month of July
■
1913.
1912.

'—July 1 to June 301912-13.
New York Phila St Norfolk

Freight revenue
Passenger revenue

1911-12.

*

Cine Lebanon & Northern

Freight revenue
Passenger revenue

$

$

282,998
46,324

3.001,819

2,714439

338.892

496,565

450,087

49,184

Total, Including other revenue.. 3,781,499
Expenses—Maintenance of way.
Expenses—Maintenance
302,429
way.
Maintenance of equipment..!..
667,516

3,424,154
331,436
595,360
48,139
1,372,008

412.562
33,198
75,803
5,576
166,985

354,911
25,612
53,794
4,090

2,495,506

295,031

236,669

.

—

-

...

,

.
.

Traffic expenses

.

.

49,609

.......

_

Transportation expenses......." 1,666,609
Total, including general

2,842,513
_

Net from railroad...............

938,986

928,647

Taxes
Final net.
Miles of road operated

...

109,531

842,113

...

.......(See this road

Northern Central
Freight revenue
Passenger revenue

oa p.

8,000

32)

Total, including other revenue.. 13,334,942 12,548,666
Expenses—Maintenance of way—
1,684,218
1,456,069
Maintenance of equipment
2,787,022
2,691,746
Truffle expenses
182,156
194,773
Transportation expenses
6,376,897 6,279,899

1,111,714
154,440

523,876

Total, including general .....11,368,578 10,911,936

974,226

166,931

Net from railroad.....
Outside operations, net-

16,990

1,966,363
6,193

Total net revenue.

Taxes..

1,636,730 "
5,726

1,972,557
497,613

....

137,488
1,112

1,642,456
459,070

'

138,600
40,965

Final net

.........

Pennsylvania Terminal
Freight revenue
Passenger revenue
_

1,474,943
1,183,385
(See this road on p. 32)

—

;

Total, including other

1,062 910

Transportation

Net from railroad—
Outside operations, net
Total net
Taxes

167,585
38,699

June 30—

...

Pennsylvania Company
Freight revenue
Passenger revenue

449,005
10,496
22,524

Final- net
Miles of road operated.
....

way..
Maintenance of equipment

464

Traffic expenses

........

16,180

246*257

198,839

301,122

234,277

16,722

176,003

214,728

16,722
1,360

176,003
18,813

214,728
18,109

Total net
Taxes

10,288

.

Phila Baltimore & Wash,
Freight revenue
Passenger revenue.
—

...

15,362

157,189

196,618

4

Final net
Miles of road operated

—July 1 to June 30—
9,422,942
.10,491,889
7,843,719
8,458,038
.

Transportation

expenses

Net from railroad.....

.

.

.

.

Total, including general..

.17,072,965 15,006,878

Net from railroad..
Outgide operations, net....

1,786,010
326,592
353,194
33,594
774,579

4,030,758

4.290,624

239,945

423,502

4,030,758
644,208

4,290,624
482,127

239,945
53,702

423,502
52,176

.3,386,549
3,808,497
(See thia.road onjp. 32)

186,243
713

371,325

.

—

713

Susq Bloomsburg & Berwick
Freight revenue.
Passenger revenue

14,466

154,491
14,098

20.721
1,135

15,302
1,321

249,354
33,577
20,701

170,896
18,781
18,263

22,049
3,604
2,190

16,909
2,363

55,986

46,318

"4",919

"¥,3551

232,107
...

Total, including other revenueExpenses—Maintenance of way—
Maintenance of equipment
Traffic expenses.....
;..
■

1,649

„

expenses...

Total, including general.

"Total net
Taxes
Final

120.036

93,432

11,240

9,381

129.317

......

77,464

10,809

7MS

a

...

77,464
3,674

77528

496

362

121,304

73.790

10,312

...

net.—................

42

Miles of road operated

-

—

1,241,251
248,822

128,576
21.048

115,279
20,382

117,402

1,510,484
114,408

151,124
10,656

137,270
10,652

9,655
66,420

1,303
5,795

761

...

11,935
64,823

5,434

Total, including general..—

227,014

221,544

20,337

19.460

1,570,626

1,288,940.

130,787

117,810

1,495,747

...—_

281,148

including other revenue..
Expenses—Maintenance of way.
Mi*
"
faintenance of equipment
Traffic expenses

1,797,641

....

expenses

Net from railroad.......

.....

Outsideoperations. net
Total net
Taxes

.

-a*—

.

—---

69,964

1,288,940
48,572

130,787
5,851

117,810
5,830

1,500,662

1,240,367

124,936

111,979

9

9

173,862

7 189,531

1,570,626

revenue

—

Final net
Miles of road operated.

—

West Jersey & Seashore

Freight revenue
Passenger revenue

1,835,126
4,124,857

1,908,025
,4,049,433

622,843

615,898

Total, Including other revenueExpenses—Maintenance of way..
Maintenance of equipment

6,351,136
966,370
987,519
180,639
2,654,796

6,351,118
964,512
1,044,713
161,097
2,703.559

835,686
113,354
106,111
16,852
274,537

844,014
95,005
93,393
17,127
249 173

4,952,985

5,016,043

524,063

466,607

:

Traffic expenses

Transportation

expenses..

Total, including general

.....

Net from railroad.

revenue

.

1,398,150
—45,878

311,622
—5,425

377,407
—5,300

1,292,808
320,252

306,197
27,301

372,106
30,122

1,069,518
972,556
(See this road on p. 32)

—

1,335,074
—42,266

1,352,271

Outside operations, net

Total net
Taxes

278,895

341,983
355

282,752

Final net
Miles of road operated
...

17,212,326 16,057,933
2,933,710
2,389,030

1,991,415
1,760

(See this road

-July 1 to June 30!—
350.525
287,505
6,298
6,891

14,278,615 13,668,903
on p. 32)
Month of July-

■

27,374
475

315,549
36,457

general—../

189.176

180,176

"

197,380

135,372

Net from railroad....

24,198
2,891
100,055

28,268

31,115
1,775
2,349

*

...

16,079,090
—21,157

31,006
2,394

567

960

228
9,278

15,082

13.297

167033

;

8,305

236

17,708

"

197,380

135,372
10.545

16,033

9,249

687

847

"

Total net revenue
Taxes

188,131

124,827

15,345

16,861

21

21

........

Final net
Miles of road operated.

...

Pitts Cin Chicago &
Freight revenue

17,708

St Louis- —Month of June— —July 1 to June SO—
2.488,038
760,750

2.476,960 31,463,208 28,329,866
8,387,997
721,628
7,993,743

Total, including other revenue.." 3,649,062
708,776
Expenses—Maintenance of wayMain tenance of equipment
834,059
Traffic expenses
80,706
1,433,205
Transportation expenses—*

3,568,027 44,510,899 40,756,700
456,041
7,666,925
5,320,316
649,914
9,023,665
7,662,881
855,205
70,560
815,782
1,219,431 16,555,453 14,821,503

...

Passenger

revenue

34.981,707 29,433,525

Total, including general..... 3,135,428

2,475,775

7 513,631

1,092,251
—1,136

9,529,192

512,800
140,655

1,091,115
128.551

9,519,731 11,313,070
1,685,954
1,522,473

372,145
1,472

962,563
1,467

7,833,776
9,790,597
(Sea this road oa p. 32)

Net from railroad.
Outside operations, net......

!

Total net revenue.
Taxes
Final net

-833
a.

;

...

....

a

—9,460

11.323,175
10,105

*

'Total,

Transportation

17,264,667
—52,340

2,210,675
219,260

386,557
34,029
26,883
2,852
108,009

expenses.

Total, including

3.705,306 49,308.685 38,891,811
2,206,987
3,687

Maintenance of equipment.
Traffic expenses

«

865,884
32)

on p-

5,912,293 66,573.352 54,970.902
774,972 11,100,992
7,572,910
898,369 12,285,654
9,861.581
88,607
930,980
1,015,888
1,842,780 23,652,134 19,446,252

Expenses—Maintenance of way
Transportation

*

4,520,990 50,661,556 41,206,702
886,679
9,841,670
8,915,195

Total, including other revenue..

Miles of road operated

Union RR of Baltimore
Freight revenue Passenger revenue

1,142,205
276,321

48,315
864,534
586 (See this road

•

7,166

129,317

——

,

10,809

8,013

42

revenue

.......

1,148.103
—5,898

1,149,598
285,063

1,355,302
1,750

...

Final net
Miles of road operated, a—

Net from railroad.
Outside operations, net.

586

71,000
22,685

Outside operations, net......

Total net revenue...—
Taxes

Transportation

-2,603

1,600,116
244,814

...—.

Pitts Char & Youghioghony
Freight revenue
Passenger revenue

1,819,920
294,141
320,901
29,410
707,820

1,396,417

4,034,118

1,149,011

—4,911

revenue

......

1,013,491
634,778

1,546,064

4,370,061

73,604

1,605,028

—

Total, including other revenue- .21,103,723 19,297,502
Expenses—Maintenance of way—
2,713,212
3,424,524
Maintenance of equipment.
3,335,656
3,881,136
Traffic expenses
367,917
340,614
8,131,945
Transportation expenses...
8,859.772

345,699

Total. Including general —.,4,549,750

—Month of July

961,582
654,785

5,182,222
601,727
882,930
135.968
2,233,927

905,287

Qutside operations, net

—

5,519.073
777,462
919,817
139,532
2,343,054

114,754
33.903

6,154,778
1,117,757
1,035,630
89,712
2,184,813

Expenses—Maintenance of

12,058

Total net revenue
Taxes .............a.a

3.081,890
1,709,018

419.304
62,818
78,075
11,022
178,317

4,690,317

Total, including other revenue-

20,418

"

3,291,035
1,786.970

~

_

."

Final net
Miles of road operated—.—

27,445

...

145,928

36,822
577

~

4

—...

239,473

60,463
23,640

......

revenue,

12,058
1.770

Net from railroad
Outside operations, net.

80,851

45

63,071
-2,608

expenses

Total, including general.-

21,139

expenses.

Total, including general....

129.243

78,708
86.641
14,151
193.017

.

Traffic expenses

653

803

100

a.

Transportation

477,125
29,559
22,694

37,141
762
3,309

39,503
2,826
3,248

167,514
38.270

8,210

388,809

.

97,635 ^128,885
472
473

-July 1 to

2,695.

451,881

Total, including other revenue--"
Expenses—Maintenance of way.
Maintenance of equipment.

...

revenue,

Traffic expenses

-

10.906

909

.

—

.....

iExpenses—Maintenance of way..
Maintenance of equipment

.

of June—•

—Month

'

-114,754

255,262
155,582

.—

....

Miles of road operated

362,240

167,514

45

....

895,978

248,056

399,082

10,906

9.613

Grand Rapids*& Indiana
Freight revenue
.........
Passenger revenue

141,210
216,999
17,085
496,821

-

15,797
30,955

-4-;.

778.433
209,609

807,749
231,394

477,000
113,036
62,095
10,237
171,250

566.596
85,418
75,324
10,600
221,979

12,652
3,039

——...

112

9,464,273
2,309,261

9,965,319
2,506,923

......

347.795
57,403

41,862
9,517
4,242

12,652

———

110,341

1911-12,

9
377,783
73,041

932

Final net
Miles of road operated

~

112

1

38,419

Total net revenue—"
Taxes

-118,241
7,900

1912-13.

26,381
4,825

20,710

.........

expenses—.^
general....."

Net from railroad
Outside operations, net.....——.

118,241

117,531

835,366

938,986
96,872"

—July 1 to June 30—"

1912.

5,786

Total, including

....

Total net revenue—..........

.

June—

51,072
7,470
8,686

...........

Traffic expenses

Transportation

Of

S

34,836

Total, including other revenue.."
Expenses—Maintenance of way...
Maintenance of equipment...

140,406

117,531.

928,647
'
93,281

OutsIdeoperations.net....

$

XCTH.

.....

...

355

Toledo Peoria & Western
Freight revenue
Passenger revenue

Month

-July 1 to June 30—
826,586
754,819
446,540
480*927

........

of July-

62,561
44,752

60,873
42,638
109,645
18,491
21,778
2,200

1,392,960
245,668
300,203
29,101
517,969

1,276,599
200,035
286,529
28,281
490,563

114,299
24,946
27,801
2,591
47,329

1,135,247

1,046,017

106.317

83,776

257,713

230,582

7,981

25,869

257,713
63,886

230,582
58,213

7,981
5,000

25,869
4,800

Final net—
193,826
172,369
Miles of road operated...—.... .(See this road oa p. 32)

2,981
247

21,069
247

Total, including other revenue-

Expenses—Maintenance of way. _
Maintenance of equipment
Traffic expenses

Transportation
Total,

expenses.——

including general

Net from railroad
Outside operations, net
Total net revenue.
Taxes

——

.......

.

Vandalia
Freight revenue
Passenger revenue

-Month

597,571
205,392

—..a—

...a..—

.

37,768

of June— —July 1 to June 30—
545,964
7,699,828
6,496,963
207,509
2,396,826
2,418.726

884,235
153,364
190.527
26,709
370,033

a

——

Transportation expenses

760,589

657.7.87

8,715,377

7.945,447

123,646

182,554

2,489,027

2,074,592

182,554

2,489,027
369,165

2,074,592
340,090

93,330
910

153,867

4,870
5,988

52,794

11.418
3,829
1,239
157
4,242

11,719
2,777
1,043

135,280
40,729

9.640

8,012

1,777

Traffic expenses

11,204,405
1,638,541

4,956
5,636

.

Maintenance of equipment—...

840,342
147,689
154,441
21,328
315.465

123,646
30,136

Total, including other revenue.

Expenses—Maintenance of way

1L706

301,257
4,265.008

10,020,040
1,413,937
1,987,524
300,731
4,018,891

_

Total, including general——
Net from railroad

»2,279,910

....—

Outside operations, net

Total net revenue.
Taxes

_.—

...

Final net
Miles of road operated

........—
"

......

28,687
827

2,119,861
1,734,502
(See this road aa p. 32)

Pennsylvania System—Western Lines

Central Indiana

Waynesburg & Washington

Freight revenue
Passenger revenue

174,262
26,219

,

Total, including other revenue
Expenses—Maintenance of way—
Maintenance of equipment.

..

137,688
26,726

11,528
2,179

8,839

209,157
50,495
48,368

172,441
47,355
45,250
7,718
86,182

14,310
4,107
3,913

11,615
3,979
4,068

7,236

6,344

200,046

17,037

16,128

—2,727

—4,512

Net from railroad

Total net revenue.
Taxes

Traffic expenses

Transportation

expenses..

Total, including general—

..

214,391

Net from railroad..
Outside operations, net—

—27,604.

——

Total net
Taxes
_

Final net

revenue

....

———

..

..

Miles of road operated...—.....




■

614

2,223

605

—5,234
19,014

—27,604
19,857

—2,727
1,547

—4,512
1,621

—24,249'

—47.461

—4,274

—6,134,

127

127

Freight revenue
Passenger revenue
Total, including other

revenue.."

Expenses—Maintenance of way
Maintenance of equipment
Traffic expenses

Transportation expenses
Total, including general

.—

70,976

60,551
70,989

15,724
1,574
48,742
109,675

132

3,889

,

142,384
35,798
16,829
1,383
51,977

108,180

25*604

34.203

..

1,777
261

3,706
268

V 8,040

34,203
2,975

Final net..........

1,516

3,437

22.564

31,227

Miles of road operated.

28

28

....—

25,604

Sept., 1913.]

RAILWAY EARNINGS

11

Beading: System
—Month

of June—

1913.

Atlantic City
Freight revenue
Passenger revenue

247,509
41,590

expenses.

1,115.924

154,489

1,734,449

1,595,803

78,512

180,793
32,943

571

435,289
110.702

39,393

324,587

379,724

141

103

248,181
1,696

197.809
1,644

22,893
5,024
1,596

19,371
4,727
1,522

254,484
32,025
18,716

201,027
23,086
18,223

10

147

151

5,217

4,077

57,801

48,235

11,881
11,012

Total, including other revenue_
Expenses—Maintenance of way.
Maintenance of equipment
_

10,387
8,983

109,487

100,347
100,680

Traffic expenses

Transportation

expenses

Total, Including general
Net from railroad
Outside operations, net

144,996

11,012
1,500

Central RE of New Jersey
Freight revenue
Passenger revenue

600

144,996
8,100

8,383

136,896

Month

..16,404,860
..12,000,896
—65,610

23,005
3,335

—13,635

19,660

21

123,913

124,413

,128,061

133,670
17,489

15,680

-

12

1,568,141

1,311,905

1,606,037
132,070
3,210
423,396

.

1,337,02$
109,945
1,981!
36$
401,14#

30

344
30

30,942

29,408

46,756

47,352

560,711

514,68$

81,305
7,092

86,317
3,123

1,045,325

822,33#
50,91®

88,398

89,441
50.000

1,127,822
121,497

873,24#
91,800

54,900

Transportation

39,441

1,006,325

781,44#

21

21

r

.

expenses

Total, including general
Net from railroad
Outside operations, net
revenue

Taxes
Final

Miles of road operated

Reading & Columbia
Freight revenue..
Passenger revenue

365

82,496

Total, including other

9.046,382

956,839

1,076.797

30)

676

p.

259,875
101,748

241,577"
95,95$

36,092
10,603

390,780
72,959

297

471

5,906

88

85

16,775

15,122

1,003
199,159

24,236

26,410

281,545

262,505

9,681

109,234

9,681
893

109,234
1,400

11,690

f ,788

107,834

.59

way

361,86®
78,041
3,097
1,060
178,102?

8,690
03,000

way.

59

....

expenses

Transportation expenses
Total, including general.

Total net

-

'

Final

revenue

net

Miles of road operated-

99,36$

r

99,36$
5,29$

94,076

669

St.
—July 1 to June 30—
15,964 ;
213,525
158,040

.....

Louis

&

San

St Louis & San Francisco

of June

15,841

24,289
8,587

8,690

Maintenance of

Traffic

1,199,986
123,188

on

21,Of8
8,476

32,926
6,940

revenue

Expenses—Maintenance of

1,140,532
59,453

964,750
86,177

10,093

1,050,928
94,088

Month

■

Outside operations, net

10,538,959

.(See this road

net

Net from railroad

10,549,052
1,502,670

..

—10,273
3,361

21

expenses.

1,335,652

..10,413,790

Freight revenue
Passenger revenue

36

1,903

.

347,726
30,076
701,275

.11,935,285
1,521,495

..

—

1,940
1

—3,884

Reading

1,433,647

15,348,778

..

Chester & Delaware River

23,005

—3,822

.

720,492

..

Final net
Miles of road operated

132,675

—10,273

Maintenance of equipment..

215,123

..

—....

170,624

1,940

.

net

Traffic

2,476,184

261,976
374,804
30,707

..

Total net revenue....

11,422

------

Total, including other revenue._
Expenses—Maintenance of way

575,355

2,398,398

..

_

Taxes

16,860
>—3,822

.

Freight revenue
Passenger revenue

of July
1,774,428

1,690,720
628,703

Total, including other revenue-..28,405,756 25,887,737
Expenses—Maintenance of way.
2,785,817
2,635,358
Maintenance of equipment
4,220,746
3,831,109
Traffic expenses _*■
360,569
360,416
Transportation expenses
8,499,555
8,012,481

Outside operations, net

104,065

Miles of road operated

93,480

.

Total, including general

116,859

30

—July 1 to June 30—
.21,903,445 19,039,423
5,508,424
5,432,070

Net from railroad

92?
8$

.8,639

61

Final

100,680
7,200

9,512

-

8,983

30

Final net

Miles of road operated.

10

10,125

Taxes

Total net

Total net revenue

155,681'
27,679*

53
119

expenses...

Total net revenue.

—

Taxes

160,350
52,819

10

1

166

19,141

13,362
2,715

Total, including general..

Port

Catasauqua & Foglesville
Freight revenue
Passenger revenue

13,037
6,673

way

Net from railroad

487,731
108,007

22,339

Final net\

Miles of road operated..

70,400
31,007

$
58.745
76,17$

Outside operations, net

530,952
—43,221

166

.

i.

470,674
-35,385

67,381

revenue

67,704
2,695

79,083
11,702

Outside operations, net

63,689
75,097

revenue..

expenses

Transportation

$

4,482
6,564

Maintenance of equipment
Traffic

$

6,440

Total, including other

2,126,756
339,744
177,679
27,199
1,036,544

of June— —July 1 to June 39—
1912.
1912-13.
1911-12.

4,771
,

Expenses—Maintenance of

2,062
98,816

168,997

Net from railroad

Freight revenue
Passenger revenue

1,219,262

2,205,124
388,850

Month
1913.
$

Phila Newtown & New York

1911-12.
$
799,991

$

222,194
31,017
21,247

17,835
3,484
104,872

Total, including general

Total net

769,108
1,317,383

.

Traffic expenses

Taxes

1912-13.

$
68,664
142,513

$

70,470
166,882

Total, including other revenue.
Expenses—Maintenance of way_.
Maintenance of equipment

Transportation

—July 1 to June 30—

1912.

Freight revenue
Passenger revenue

Francisco

System

■—July 1 to June 30.29,527,702 25,872,606
.10,941,363 10.820,594

Month of July

2.424,247
1,011,603

2,110,773'

3,277,28*

1,023.480
14,539,406

3,693,530
507,248
551,804
76,000
1,152,770

..28,599,620 26,611,473

2,379,481

2,242,707

.14,802,095 13,0^6,715

1,314,048

1,034,572

.14,802,095 13,006,715
1,426,253
1,380,475

1,314,048
113,594

1,034,572
114,37$

.13,375,842 11,626,239

1,200,454
>4,741

919,199'
4,741

.....

.

933.044

"

Total, including other

18,421

revenue-

Expenses—Maintenance of way..
Maintenance of equipment
Traffic expenses
Transp ortation expenses

17,920
>

1,683

,

244,254
18,367

494

432

187,391
13,750

706

105

14

177

68
-•«'

78,532

'5,624

98.154

78,638

12,296

146,099

108,763

Net from railroad
Outside operations, net

1,373

12,296
1,265

146,099
3,001

108,763
2,602

Total net revenue
Taxes

8,917

11,030

143,098

106,161

5

revenue.

5

13,755
12,498

14,522
3,582

183,654

27,653
29,872

19,230

255,755
112,498
3,021

...

Taxes

.-■y

Final net
Miles of road operated

....

Gettysburg & Harrisburg
Freight revenue
Passenger revenue
Total, Including other revenue.
Expenses—Maintenance of way..
Maintenance of equipment

69

Transportation expenses

ef Jun
35,431
21,111

Total, including other revenue..
Expenses—Maintenance of way
Maintenance of equipment

63,334
6,853
7,845
1,992
29,005

48,590
14,744
14,744

3,492
2,357

12,419
235

..

—18,835

3,478

7,588

51,637-

.

—18,835

3,478

7,588
2,339

51,637
3,300

3,478

5,249

48,337

.

...

41

41

3,772

5,044
6,687

52,474

7,996

14,488
3,877

13,915
3,302

143,520
38,551'

Traffic expenses

Transportation

;
expenses

Total, including general
Net from railroad
Outside operations, net
Total net revenue

Taxes

...

Final net

...

Miles of road operated..

Pennsylvania

'

66,815
9,033
14,485
2,185

§2095

886,264
132,777
111,832

34,344

22,207
417,512

175, f
124,567
38,28$
471,435

63,322

725,189

854,79#

3,492

...

...

352,764
538.656
78,962"
1,156,456

—July 1 to June 30—507,229
544,98®
296,921
290.Gr

1,134

180,236

161,074

66.13$

161,07%
26,540

f!*7??

134,534

'

40,356

235

Paris & Great Northern

Freight revenue
z
Passenger revenue....
revenue-

Expenses—Maintenance of way
Maintenance of equipment

61,466

v

49,001
56,949
132,752
35,443
2,730

46

63

19

5

82,197

120,897

7,616

expenses..

Net from railroad.

6,310

1,470
74,134

11,513

expenses

Total, Including general

9,696

114,782

292

Freight revenue
Passenger revenue

Transportation

28,737

11,855

11,855

Taxes

2.288

2,258

Total net revenue....
Taxes

26,449

9,596

88

58

2,886
25

4,160
.25

44,433
6,792

net

Miles of road operated...

52.268
6,673

w
.

250,757

119

5,293

9,583

140,295

8,042

Net from railroad
Outside operations, net.

28,737

181,160
59,094

14,184

643

2,202

6,168.

expenses

Total, including general

4,219

168,339
57,442
239,097
25,700
23,802
4,921
73,271

12,205

...

4,219

18,695
4,303
23,768

774

..

Traffic expenses

2,974

Total net revenue..........

14,605
4.435
20,247
1,506
1,928

,

Total, including other revenue.*
Expenses—Maintenance of way.
Maintenance of equipment

2,974

Outside operations, net.

,

•

23.250
22,516

2,306
,

57,45$

116.56$

98,801
98,801.
6,038

134,1*5

92,763

128,847

8,042
600

14,184

7.442

13,784

16

,16

Freight revenue
Passenger revenue

\63.440
31,830

70,854
26,853

1,064,097
352,397

902-,730
318,647

Total, including other revenue..
Expenses—Maintenance of way
Maintenance of equipment.....

103,976
18,066

104,025
35,170
17,727
2,083
49,144

1,513,080

1,364,250
238,874
182.30$
34,276
605,77$

89,434

108,720

1,234,974

1,119,72$

14,541

—4,694

278,112

184,52$

14,541
1,225

—4,694
1,216

278,112
13,338

184,526
13,186

13,316

—5,911

264,774

171,338

..

.

Final net

Miles of road operated

400

5,3411

St Louis San Fran & Texas

Perkiomen

Freight revenue
Passenger revenue
revenue-

53,085
16,722

61,114
8,302

204

Expenses—Maintenance of way..
Maintenance of equipment.
Traffic

n.32M

v

248,166

Miles of road operated

Month

on

1,453
128,457

157

Cr960

Total, including other

.(See this road

231,874
52,689
12,716
1,822
111,319

•

8,361

-

Final net

Final

.

n

32,463
24,468

15,752

revenue.

Transportation

....

Final net

Freight revenue
Passenger revenue

16,169

Taxes

Traffic

...

181,638
39,721

55,340

46,488

.

Total, including general

Total, including other

.15,323,504

expenses.

Total, including general

Miles of road operated.

282

...

Net from railroad.
Outside operations

Transportation

64,316

949,225

Fort Worth & Rio Grande

.....

Traffic expenses

..

..

10,291

Net from railroad

Northeast

«

5,092

....

Outside operations, net

Total net

Traffic expenses

-43,401,716 39,618,188
5,331,145
4,680,019
5,763,822
5,191,185

revenue

Expenses—Maintenance of way..
Maintenance of quipment

8,130

......

Total, including general

Total net

Total, including other

277

605,991

557,978

79,030

79,711

711,329
82,017
1,827

662,412
58,698
3,829

18

542

434

18,980

218,148

200,802

33,550

27,654

304.131

264,798

19,535

expenses

33,460

407,198

397,614

18

Transportation expenses

16,503

Traffic expenses .1..

Transportation

14,494
2,794
49,088

*

expenses

264,324
189,965
30,960
683,457

■

Total, including general
Net from railroad

Outside operations, net
Total net

revenue

19,535
4,000

Final

Miles of road operated

407,198
17,750

397,614
15,266

31,943

389,448

382,348

41

net.

33,460
1,516

15,535

Taxes

41

Total, including general
Net from railroad.
Outside operations, net..
Total net revenue

Taxes
Final net

Miles of road operated

243

243
i

Philadelphia & Reading
Freight revenue
Passenger revenue
Total, including other

Total
-

-

revenue-

Expenses—Maintenance of

way..

Maintenance of equipment
Traffic expenses

Transportation expenses
Total, including general
Net from railroad

-

-

-

-

-

3,241,370
664,159

3,117,914 41,033,464 35,541,226
587,902
7,101,752
6,908,759

Freight revenue
Passenger revenue

4,027,832
487,716
632,961
41,115
1,308.102

3,890,684 50,562,717 44,476,524
532,069
4,687,898
4,161,750
766,916
8,432,952
8.308,641
41,625
492,481
493,719
1,225,802 16,199,894 14,753,302

Total, including other revenue.- 3,706,121
Expenses—Maintenance of way
341,367
Maintenance of equipment.....
572,106
Traffic expenses
85,339
Transportation expenses
1,195,734

2,531.357

2,637,-811

1,496,473

15,959,646
305,160
16,364,807
1,056,994

30,547,340 28,516,878

Outside operations, net

39,497

1,252,873 20,015,376
18,704
411,431

Total net revenue...

1,535,970
351,029

1,270,947 20,426,808
67,290
1,300,478

1,184,941
1,015

1,203,657 19,126,329 15,207,813
1,014 (See this road on p. 32)

Taxes
Final

net

Miles of road operated




-

Company
2,443,066
1,010,600

2,213,154 31.267.367 27,501,500
919,738 11,648,123 11,489,017

3,386,631 46,040,163
376,718
5,753,946
6,089,421
532,038
77,283
1,292,448

...

Total, including general
Net from railroad
Outside operations, net
Total net revenue

Taxes
Final net...

Miles of road operated

998,956 15,340,082 13.391,563

1,414,537

1,414,537

-

„

117,764

1,296,772
5,235

5,117,989
5,520,571
1,098,338
15,674,071

2,387,673 30,700,078 28,702,557

2,291,583

-

,

1,007,313
16,497,744

•

998~,956
116,002

15.340,082 13,391,563
1,472,169
1,424,782

882,951 13,867,913 11,966,77®
5,235 (See this rood on p. 33.

12

RAILWAY EARNINGS
St.

1912.

$

$

Freight
■

602,069
71,063

38,762

52,918
20,197
11,035
1,740

32,566

708,140
113,953
101,645
20,050
338,146

714,956
163,735
92,277
21,662
299,441

52.143

70,088

611,860

615,932

—13,381

-17,170

96,279

99,024

9,035
16,913

1,538
21,858

expenses..

"

Total, including general
Net from railroad
Outside operations, net

1,201

946

96,279
15,763

-18,116

80.516

87,537

118

—...

expenses...

Chicago & Eastern Illinois

"

—758

Final

net—...

—

—902

195,490
48,829

473,492

146,660
1.608

216,188

—

Miles of road operated

....

-Month of July

Freight revenue
Passenger revenue

274,394

935,530
263,461

1,367,571
246,697
285,503
22,024
472,478

1,301,928

Total, including general .....12,884,668 10,899,751

1,064,396

900,008

Net from railroad

303,175
—2,474

401,919
—3,312

4,081,152
—12,638

3.623.127
3,608,582
458,511

300,700
45,000

398,607
37,000

255,700
1,275

361,607
1,275

...............

i,

Net from railroad

Outside operations, net......

3,330,304
—25,570

4,315,761
—31,410

Total net
Taxes

3,304,733
611,844

4,284,350

2,692,888

3.857,758

...

revenue

....

...

...

Final net

;

Miles of road operated
Louisiana

.(See this road
-Month

Southern

Freight revenue
Passenger revenue

3,599,815, 3,150,071

5,258

Total,

-

.

32.)

-

Traffic

July 1 to June SOSO ,932
82,276

of June
7,092
1,586

34,981

15,970

9,858
1,915
1,052

131,324
23,234
17,097

114,506

50

5

'961

5,054

4,596

55,100

.....

expenses

including general

97,676

Total,

Total
Taxes

2,257

....

19,468

247", 130

195,047

-10,037

—58,040

"^=21,369

"

-14,516

-10,037
490

-58.040
6,897

-21 ,369

510

-15,026

-10,527

-64,938

-24 ,875

106

106

,

"

—July 1 to June 30—
44,943,747 41,508,300
18,220,489 16,938,811

.

•

Final net
Miles of road operated

«

-Month of July
3,360,722
3,470;747
1,665,632
1,577.526

5,424,833

10.108,672

906,047

11,290,337
2,094,009

1,745,353

180.438

Transportation expenses.

23,605,046 22,081,653

1,944.331

6,454,833
724,279
953,952
166,473
1.863.135

Total, including general......48,273,923 43,696,236

794,004

3.989.232

3,862,286

64,754

1.435,601
—2,655

1,592,547
1,650

20,336,102 19,958,847
2,480,387
2,452,328

1,432,945
207,656

1,587,896
202,522

'L^inal net.^--------,T,^.^->17,855,715 17,506,518

2,203

1,225,289
7,036

1,385,374
7,033

,

Net from railroad.

33,647
8,288

28,291

733

1,609,

1,470

25,359

20,626

45

_

-

Maintenance of equipment
Traffic expenses

28,291

33,647

2,203

2,257
648

.....

3 ,506

Southern Railway System

^

-20,255,568 19^8947092

a

Outside operations, net

a Total net revenue..

9,841
2.571

23,789

^Total, including other revenue..68,529,490 63,590,328
Expenses—Maintenance of way
9,295,553
7,841,220

Outside operations, net

Taxes

85,781

-14,516

revenue

Southern Railway
Freight revenue.
Passenger revenue..

,

Net from railroad

108,549

"

net........-.-—
Miles of road operated.

86,214

22,386
18,490

165

6,035

"

Final

«

173,677
81,853

199

10,098

expenses

including general.

net

119,694
43,554

839

,

43,900

7,654

•

32.)

189.089
99,085
18,084
2,430

9,431
11,136

7,268
3,564

expenses

Transportation

104

10,930
1,469
1,997

way

equipment

Traffic expenses

on p.

on p.

127.033
47,919

'3.427

9,272

Maintenance of equipment

229,015
21,883
461,843

*

3,510

...

Total, including other revenue.
Expenses—Maintenance of way

141,805

^,672

revenue.."

[Total, including other

Expenses—Maintenance of

Transportation

5.667
3,304

._

Mi '
[aintenance of

426,592

—14,543

1.608 (See this road

Outside operations, net

.......

8,419.414

4,068,513
408,696

57,304

4,639

,,992,490
268,742

Total, including other revenue..16,214,972 15,215,513
way
2,155,195
1,462,391
Maintenance of equipment
3,717,829
2,778,230
Traffic expenses
316,581
362,549
5,810,822
Transportation expenses...
6,205,410

<

196,248

~

revenue

479,152

3,744,142

9,215,798

Stephenville Nor & Sou Texas

Expenses—Maintenance of

<

674,791

Outside operations, net

—July 1 to June 30
.11,984.133 11,138,149
2,950,220
2,900,522

Freight revenue
Passenger revenue

•

"

Net from railroad--..

118

Miles of road operated

-17,170

12,042,542
1,477,068
2,172,269

340.739

949,187 13,296,949
137,917
1,899,483
134,317
2.219,389
36,189
508,893
307.943
4,039.413

960,048
131,589
206,971
40,342

~

expenses

Total, including general

99,024
11,487

—14,582

—13,381

revenue

—

Final net

8,971,114
2,300,985

710,274
194,839

208,547

Taxes

Total net

1911-12.

9,864,489
2,018,176

763.800

revenue

Total net

July 1 to June 30—

1912-13.

667,717

Transportation

xgvii.

$

Total, including other revenue.."
Expenses—Maintenance of way
Maintenance of equipment
Traffic

—

1912.

'

revenue

Passenger

602,858
76,789

Maintenance of equipment
Traffic expenses
..

Taxes

5

45,145
4,880

—.

^2 Total, including other revenue.
Expenses—Maintenance of way

Transportation

'

31,198
4,965

*

.

Total Company

1911-12.

191 2-13.
*

of June

1913.

July 1 to June 30—

of June

•1913.

Beaumont Sour Lake & West

Freight revenue
Passenger revenue

-Month

& San Francisco System- •Concluded

Louis

-Month

; -

[Vol.

i

7,665

Total net

80,535,

revenue

IT""

45

Miles of road operated

,

New Orleans Texas & Mexico

Freight revenue.
Passenger revenue

_

Maintenance of equipment

Transportation

36,378
7,828

197,341

1,109,391
198,768

96,300
Cr.5,943
39,209
3,410
54,098

60,271
42,722
13,023
2,243
30,760

1,532,703
263,768
182,234
41,172
'697,780

1,411,880
354,088
180,722
44,790
641,493

93,571

1,263,317

1,300,247

-

.

Traffic expenses
expenses

Net from railroad.............
Outside operations, net
-

Total net revenue

.........

^ +

»

voFinal net

.
fm

—.....a—

Miles of road

.

Passepger

revenue

;.re-

269,385

.....

—1,689
1,435

269,385
22,077

—33,299

-

—3,124

«

'

—33,299

247,308

,

108,159

19,448

5,350
81,902

45,680
23,253
3,708
75,053

Expenses—Maintenance of

Transportation expenses

17,232

"

181,060

5,634

=

1,780

-15,657

5,634

"

1,780
7,825

-15,657

$26

31,822

595

601

•

534

—8.912

5,099

61

"

—

6,799

-6,044

-22,457

Final

way

Maintenance of equipment

Transportation

...

expenses

Total, including general

211,249

1,814,980
916,474

.1,505,690

184,868 ' 2,930,691
28,007.
462,902

2,399,793
444,253
174,882
39,731
961,212

62,016

206,312 '
41,995,.
41,973
6,372
111,484

'

17,612

324,173
68,920
1,383,041

-3,204
133,435

714,377

191,273

;

2,342,659

—4,936

—6,405

=

588,032

.—....—~

.,936
5,500

—6,405
7,473

'

588,032
68,447

676,885

Total net

revenue-

—

Final net
Miles of road operated....

St.
St Louis

Louis

Southwestern

Expenses—Maintenance of way
Maintenance of equipment

Traffic

expenses

Transportation

expenses

Total, including general
Net from railroad

.

-Total net

net..

Miles of road operated

Freight revenue..
Passenger revenue.

System

491,375
114,676

6,593,560
1,509,173

629,273
65,306
120,020

626,363

8,59(

09

84.427

9li

125

27,614
162,505

24,783
164,545

1,252,993
349,824
2,051,958

7*747,459
772,522.1,228,144
333,207
1,954,080

400,673

395,248

4,881,571

231,114

3,714,538

"3,122,505

—678

—10,338

—10,915

230,436

—452

228,148'

46,370

3,704,200
337,619

3,111,589
330,135

184,066

3,366,580

905

Expenses—Maintenance of way
Maintenance of equipment
expenses

Transportation

.

expenses

Total, including general

218,899

3,270,929

3,008,120

80,163

1,109,003

989,611

322,824

66,283

53,490
54,128

4,700,840
984,253
966,39(

11,406
143,398

1,987,455

4,295,083
704,546
944,125
145,945
1,790,062

279,543

4,334,225

366,614
—2,300

500,622
—3,628

363,127 '

Net from railroad
Outside operations, net.——.I...,.

—32,35^

Total net
Taxes.

—32,658

revenue...

...




"

—306
11,228*

Final net—
Miles of road operated
.

Taxes

36,96?

—43,886
703

—224

I

159,069

43,056
10,934

364,313'
131,077

49f1,093
128 1,376

32,122

233,235

368.617

703

p.

32)

6.746
4,943

v

12,743
•3,509
1,313

973
208

233

6,192

6,298

1537079

11,282

11,957

447125

—951

.

v..

786

—951

.

.

786

575

575

—1,526

211
82

82

8,231

184,186
34,680
15,438
2,084
62,043

12,934

14.028

3,299
1,047

2,420
1,888

125,435

10,718

10,475

58J51

2,215

3,552

58,751
5,393

2,215

3,552

539

434

53,358

1,676

3,118

44

44

144,87?

.....

-

—

119,492
50,239

176,209
41,757
21,559
2,994
67,250

-

expenses

7,065
4,575

114,237
49,833

—

31,332
31,332
5,406

.....

net

—

25,925

....

,

•

4,713

246

201

5,263

.

i

;

5,037

Danville & Western

245,568
72,247

222,446
66,523

18,545
6,343

17,168

331,578
56,240
33,842

303,258
53,283

26,050
4,891

2,222

4,151
86,910

26,944
2,535
81,219

25,064
4,048
1,746

7,087

6,283

191*505

172,298

15,483

13,197

140,073

1307959

10,56?

11,866

140,073
14,474

130,959
13,914

10,567
1,193

11,866
1,182

12S7599

117,045

9,373

10,683

83

83

1,281,122
832,006

113,033
65,040

99,595
68,686

2,447,528
260,494
468,623
88,989

Transportation expenses....... 1,052,671

968,522

203,106
25,856
40.974
7,717
87,597

192,290
20,800

465,904
94,638

2,039*138

1,898,421

171,249

158,287

,5277752

549,107

31,857

34,002

Freight revenue
Passenger revenue
Total, including other revenue..

Expenses—Maintenance of
M
taihtenance of
"

way....

"
equipment

—

Traffic expenses

Transportation

expenses..p..

Total, including general
Net from railroad
Outside

359

Total net revenue.

Final net

Georgia Southern & Florida
Freight revenue—
Passenger revenue

1,410,480

Total, including other revenue.. 2,566,890
Maintenance of

Traffic expenses

equipment
-

Total, Including general

.....

Net from railroad..
Outside operations, net...

Total net revenue..........
Taxes
i

238

v>

830,640

Expenses—Maintenance of way

_

6,778

operations, net- ———.—

Taxes..........................

3,794,460

43.280

86,951
12,728
178,234

4,904
4,355

10,330
3,327

Miles of road operated

330,775

on

'

....

Total net revenue

2,781,454

905

1,209,211

Outside operations, net

4,624,954

80,189

5.962,994
1,311,374

217,188"
87,804

Total, including other revenue..

w

Miles of road operated-

St Louis Southw Ry of Texas

Traffic

30,798
6,512

revenue

Total, including general—

Final

37,601

Taxes
Final

610,027

190,546

revenue

30,798

Transportation expenses.......

-■>

228,600

Outside operations, net

150,933

net...

Traffic

66,857

450,529
120,743

Total, including other revenue._

1"

"

Total, including other revenue..
Expenses—Maintenance of way...
Maintenance Of equipment

509

519,585

r

Month of July-—-

197,204
32,419

"

■

Southwestern

Freight revenue
Passenger revenue
«

—13,878

517

1,232,664

(Sec this road

18,216
2,241
92,074

Net from railroad

10,436

"73"

"

""676,885

Taxes

"7"

...

Blue Ridge
Freight revenue
Passenger revenue

1,722,908

Net from railroad—............v
Outside operations, net

-

74,909
309

"

108,816

72,514
revenue..

—5.284

1,381.23*
172,019

78,281

-

operations, net

Total net

—7.375
1.408,705
176.040

41,539
20,135
3,058

way

.....

Taxes.—.

61

113,847

Traffic expenses

f

763

24,285

expenses

Total, including general...

(,

Outside

"^389,375

T?16,081 "X586^iS

11,155

115,609
53,024

revenue..~

Miles of road operated

a

Expenses—Maintenance of

,

3,815,904

'

84,607

181,731

;.

......

revenue..

Maintenance of equipment
Traffic

1,637,409

4,775,891
582,207
1,040,604
136,826
1,509,636

627,363
1,177,996
154,663

-July 1 to June 30

Total, including other

.

Net from railroad

St Louis Brownsv & Mexico

„

Passenger

153,500

-

...

......

'

17,703

6,675

4

*

...

137,842

1

83,844

3,217,742
1,159,747

15,300

1$0

22,866

to June 30—*

90,209 ~~

net....

Augusta Southern
Freight revenue.

mi

"254,141

—847

....

*.

52,667

--1,632

-

—8,310

Total, including other

"V

revenue

...—.

100,511

13,575
7,780
6,444
381

i

7335,736
91,056 ~

140,331
--21,973

.—8,310

revenue

Freight revenue
Passenger revenue

—

Final

277

21,885

expenses.

Net from railroad-.......
Outside operations, net

.

Total net
Taxes.

69.309
74,315

94,597
13,798
163,644

expenses..

Outside operations, net

;3,473

1

5,231,985

53,571
.

Total,, including general......

111,633

—July

3,488,041
1,291,317

expenses

Transportation

244,524

J00.231

4267793 ~~ 377,985

Total, including other revenue._
Expenses—Maintenance of way
Maintenance of equipment
a.
Traffic

of June—

277,427
113,263

'

revenue

-

111,633

6,678

revenue--

Final net
Miles of road operated—

—Month

revenue

Passsenger

Net from railroad

; *
10,074
.' -.1,788

Total, including general

"1-Total net
Taxes

—33,299'

Freight

Miles of road operated

Expenses—Maintenance of way
Maintenance of equipment
Traffic expenses

Transportation

—1,689

285

operated.........

Orange & Northwestern
Freight revenue
'-TotiL including other

'

97,989

Total, Including general
,*

1,225,741"

73,902
16,137

.....

v,Total, including other revenue..
Expenses—Maintenance of way.

Alabama Great Southern

Final net......,

Miles of road

operated.

313,480

38,846
6,683
82,975

—339

527,412
132*838

549,107
125,998

31,857
10,657

34,002
10,626

394,574

423,109

21,199

23.376
395

.

395

SEPT., 1913.]

RAILWAY EARNINGS

Southern

Of June

1913.

Mobile & Ohio

1912-13.

1912.

892,887
117,806

.

Total, including other revenue.

^

.......

85,943
225,970
38,424

expenses......

398,458

942,139 12,377,649 11,207,732
62,488
1,393,497
1,269,157
129,784
2,351,105
2,002,107
36,276
459,177
415,898
349,123
4,479,921
4,097,170

Transportation

780,168

610,322

9,070,197

290,515
—1,244

331,817
1,124

3.307.452
—17,230

3,040,580
—11,956

330,692
26.185

3,290,222
358,471

3,028,624
309,564

304,507

2,931,750

2.719,059

Net from railroad

;

Outside operations, net

....

Total net revenue.

289,270
28,221

.........

Final net

*

261,049

Miles of road operated

l,ll4(See this road

1,122

Alabama

441,133

375,300
74,004

Total, including other

641,088
87,904
84,241
2,585
221,617

revenue.

Expenses—Maintenance of

way

Maintenance of equipment
Traffic expenses ;
expenses

Total, including general

8,614
4,987

Traffic

-

28,249
6,439

15,836

352,814

30,898

28,889

,

111,870

>

Total net

131,137
32,071

111,870
32,367

99,066

Final net

......

79,502

8,425
2,700

5,725

,

7,105

4,433

112

....

—Month

37,698
26,609

-

Total, including other revenue.
Expenses—Maintenance of way..
Maintenance of equipment

"

Taxes

Traffic expenses

Transportation

expenses

Total, Including general

1,065,792
287,380
103,303
28,284
442,934

68,924

1,032,924

Miles of road operated

155,590

—4,270
3,893

Maintenance of
Traffic

63,147

155,590
55,959

89,629

—8,163

280

280

6,778

....

—26,481

99,631

Total, including other revenue.
Sxr>enses—Maintenance of way..

6,720

Maintenance of

13,228 Y
7,500
1,100

equipment....

Traffic expenses

69,757

62,320

50,882

•V

13,751
3,718

172,304
63,026
11,970
Y
2,566

3,371

44,045

134,246
32,441
18,455
1,259
37,324

8,495

126.991

5,256

45,313

38,592

96

13,050

.

,

Net from railroad....
Outside operations, net

177

Total net revenue...

177
357

5,256
293

4,800

38,592
4,013

—179

4,963

40,513

Net from railroadOutside operations, net

Final

58

58

.

;

—

....

Final net
Miles of road operated

•

....

•

Virginia & Southwestern
Freight revenue
Passenger revenue

1.

...

Total, Including other revenue.
Expenses—Maintenance of way..

Total, including general

--

,...

Net from railroad

....

Outside operations, net...

131,865
18,451

124,951

154,642
22,178
34,160
2,127

42,187

145,726
22,522
36,519
1,637
38,767

104,543

Total net revenue

1,142,722

615,201

50,099

43,168

22,283
500,662

50,089
5,909

43,168
5,000

479,097

554,952

44,190

240

Southern Pacific

56,399.970 52,944,791
32,028.817 31,279,921

4.478,637
2,941,254

4,667,595
2,986,136

8,029,287

8,184,888

911,518

735,482

1.123,852

,986,259
176,560
2,128,939

Maintenance of

10,151,846 10.123,484
13,163,050 11,201,493

way

equipment

Traffic expenses

2,062,542
2,180,608
26,697,434 26,170,200

2,191.254

Total, including general.....54,671,493 52,018,582

4i630,412

3,398,874

3,943,158
47,740

...

expenses...

Net from railroad

162,842

4076637821 3876027507

Outside operations, net.

1,502,185

Total net revenue—

1^663

136,475

42,166.006 38,799,170
4,379,326
4,309,576

Taxes
Final net

—37,786,680 34,489,594
*
" 7
7 7

—

Miles of road operated

i—

3,535,350
401,347

•—Month

........

of June—-

165.695
41,266

...

145,327
35,135

■

3,990,898
357,880

3,134,002
6,380

.

...

Arizona Eastern
Freight revenue

Passenger revenue

2,254,027
457,279

90,625
35,471

175,107
34,281

1,796.747 "

55,154
1,338

140,826

368,085

———

2,080,269
'

3,633,018
6,351
•

—July 1 to June 30—•
2,076,266
1,532,026
•

467,848

■383,407

192,209

-

180,134

*

,

1,338

259,292
72,379

i

expenses

224,653
63,864

19,534
7,584

19,600
5,422

347,153
43,771
2,477 •
4,119

....
......

303,203
33,272
7,168
4,745
93,838

28,344
3,587

26,077

106,045

Transportation expenses....

3,117

209

189

359

297

8,181

6,897

162,342

145,509 *

13,276

10,960

184,811

157,694

=

15,068

15,117

184,811
13,949

157,694*

15,068
1,053

170,862
\ : ' "

146,208

4,472,254
? 1,893,541

Total, including other revenue.. 6,828,648
Eroenses—-Maintenance of way... 1,059,666
Maintenance of equipment
1,152,530
Traffic expenses,220,747
Transportation expenses
2,835,590

Total, including general
Net from railroad—
Outside operations, net.—.

-

------

Taxes.net

Miles of road operated

Freight revenue,
Passenger revenue

—...

—...

Total,including general...

11,485

*

-

15,117
809

14,014
39

"14,307

3.702,371
1,740,062

354,369
191,241

338,, m

5,877,735
850,231
1,025,809

584,601
90,628
79,272
20,443
287,655

534,840
61,383
76,095
18,907
211,847

.496,279

385,022

88,322
—223

149,817
—1,697

v * *

-

39

>

2,692,035

431,136
235,534
31,874
679.785

2,059,769
277,918
162,308
28,373
545,616

1,480,504

*

221,268
2,601,085

158,, >08

5,483,128

....

Total net revenue

Taxes—

Final net,

4,938,795

1,345,519
—11,182

938,940
—16,461

=

1,334,336
231,516

Net from railroad—
Outside operations, net

'

922,478
262,144

~

88,098
19,665

148,119
19,382

660,333

"

68,432

128,737

1,102.820
' '

*

<

,

-

-

789

*•*

-

789

Houston East & West Texas

Freight revenue
Passenger revenue——
Total, including other

...

'

—

Traffic

875,470 1
324,457

963,310
361,159

revenue—~ 1,403,270

Expenses—Maintenance of way...
Maintenance of equipment
expenses,

1,272,047
235,802
144,119
24,152
458,297

336,041
172,826
25,812

....

Transportation expenses,——

478,460

Total, including general,,-.—

1,059.431

Net from railroad

Taxes

'

*

--

36-4,006
51,799

300,956

-

36,847
36,847
4,035

16,680
190

'*
-

32,812
190

-July 1 to June 30—
4
122,416
83,938

6,080
2,592

Total, including other revenue..
18,398
Expenses—Maintenance of way—- / <•' 3,031
Maintenance of equipment
4,886

9,078
2,170
664

-

expenses

72,449

20,370
20,370
3,690

•

of June

11,978
5,876

Traffic

14,894
13,029
2,360
38,325

8X14T

312.207

Month

——

—...

32,188

109,297

...

Miles of road operated...

Freight revenue.—.
Passenger revenue—

71,25$

38,821

104,512
.> 23,229
,16,166
2,002
38,533

908,041

343,839
42,882

net

60.071

,

-

364,006 *

...

——

Final

■

343,839

Total net revenue

52,486

24,626

181,807
41,458
10,847

"

114,842
31,012
10,430

Transportation expenses.

50
4,874

3,648

:

Total, including general

4,241,730

Transportation

—5,026

Lake Charles & Northern

Total, including other revenue..95.335,314 90,621,090

.

91,905
—1,279

Maintenance of equipment..

System

Southern Pacific

...

.

—59,625

u——

—

net

Traffic

38,168

240

Final net

615,201
60,248

Miles of road operated———.—

t

2,313,652 ~

Outsldeoperations.net

552;358
73,260

Expenses—Maintenance of

733,301

2,493,980

...

Taxes

Freight revenue
Passenger revenue

777,197

Total, including other revenue..
Ejroenses—Maintenance of way.

102,557

16,804

1,757,924
212,341

362,598

913,436

8,476,036 "

1,346,804

2,448.354

Miles of road operated

552,358

expenses

95,320
213,440
32,275
362,881

2,029,401
398,800
4,362,873

—45,626

—

Freight revenue
Passenger revenue

„

1,254.268

.....

Transportation

614,294
251,864

Houston & Shreveport

■Month of July

1,806,626
279,700
410,421
23,563
496,997

Maintenance of equipment-...
Traffic expenses

-

45,313

-July 1 to June 30—
1,585,662
1,553,620
174,029
162,519

539,332
276,234

10,789.688 ~

869,103
129,845
192,452
29,269
390,171

MRes of road operated——

34,579

Taxes..—i

—Month of July—

9,571,535

expenses

Total, including general

95,653

898

.

629

Total* including general

89,576

5.494

3,389

expenses......

20,959

146

Houston & Texas Central

;

5,342

1,645

~ —48,061

2,470,656
409,846
5,005,149

equipment

Transportation expenses

Taxes—.

66,645

' —5,505

7,243,824
2,957,805

>

Expenses—Maintenance of way.._ 1,308,722

"

Freight revenue
Passenger revenue

Transportation

8,217,537
3,200,941

T

-12,726
35,335

•

Total, including other revenue..12,065,516

Final

—18,632

1

•

Total net revenue

—10,296
8.336

....

...

-12,7?6

96,524

*8,656
14,161

,*

Ant—July 1 to June, 30

Freight revenue.
Passenger revenue

Tallulah Falls

'

...

Galveston Harrisb & San

910,201

.63,147

V

Final net
Miles of road operated.
<

1,096,072
329,373
113,015
29,662
510,437

—4,270

—10,296

Total net revenue
......

64,654
23,873
7,050
2,240
31,871

82,012

Net from railroad...
Outside operations, net....

Taxes

net

■

—-15,952
,J 147

—

Final

2.672

of June—> —July 1 to June 30—
37,832
649,035
642,637
19,049
358,843
341,814

71,716
23,670
9,824
2,339
41,246

265,881

112

Miles of road operated

Southern Ry in Mississippi
Freight revenue
-j.—
Passenger revenue —w

362,806

-*18,754

—13,787
2,164

Total net revenue.—

revenue.

~

325

6,957

—13/787

—

Total net revenue

Outside operations, net
Taxes

332,527
123,244
24,688
4,38$

8,656 **

"

44,807

Net from railroad

222

7,105

—

167,930
140,335

350,079
160,021
47,140
5,663
129,662

Outside operations, net——

6,046

8,425

expenses

Total, including general

14,966

t

199

—

185,422
130,649

""

11,413
27,411
7,164
2,730

-

T

\

35,995
7,710

expenses

Transportation

32.)

69,205
1,982
200,732

131,137

....

39,323

68,760

,,

409,950

Net from railroad

29,633
8,366

464,684

82,958

Transportation

Month of July

—July 1 to June 30

Freight revenue
Passenger revenue

on p.

<

13,864

31,020
23,391
7,773
Cr.677
11,485

\

Expenses—Maintenance of way—.
Maintenance of equipment

8.167,151

Total, including general

$

18,488
9,898

Total, Including other revenue..

1,424,356

-July 1 to June 30—
1912-13.
1911-12.

1912,

$

Freight revenue..
Passenger revenue

9,107,093

of June

191$.

■■

„

Corvallis & Eastern

1911-12.

771,441 10,207,820
115,759
1,459,917

1,070,683

laintenance of equipment

Northern

July 1 to June 30—

$

Freight revenue
Passenger revenue

Taxes

—Month

-Concluded
font,

Traffic expenses

13

12,993

6,938

"

109,333

85,174

2,140

~

72,474

29,667

72,474
1.159

29.667

"

71.314

29.044

Net from railroad

5,404

Outside operations, net..
Total net

'Taxes

5,404
162

net

2,140
39

5,242

Miles of road operated

2,101

.

65

—

Louisiana Western
Freight revenue...
Passenger revenue..———

1,097.620

>

703
,

54,380

40

-----

revenue-

——,J_———

Final

32

"

97,249

114,610

623

65

61,855

1,601.219

-

41,119

186,693
24,387
41,349

146,593
19,090
26,323

1,206

708,519

-

631

__

Total, including other revenue.

Expenses—Maintenance of
'

223,210

_

Maintenance of equipment--..Traffic expenses—

30.646
3,252

Transportation

59,434

15,562
15,669
2,660
50,516

206,276

93,460

103,361

way

expenses

...

Total, including general

'

Total, Including other revenue—
Expenses—Maintenance of way.
—

Maintenancefor equipment
Traffic

Transportation

98,749

1,211,530

118

983

962,149
2,328

Net from railroad
Outside operations, net

Total net revenue..—

16,974
11,794

98,868
12,021

1,212,514
115,936

964,477
126,529

Total net revenue
Taxes
li_—

5,180

86,846

1,096,578

837.948

—7—

Taxes-

Final net

Miles of road operated.....

366

-

- -

Coos Bay Roseb & E RR & Nav

reight

Total, including other revenue

Morgan's La & Tex RR & SS
Freight revenue
Passenger revenue
...

9,145
2,941

85,309
23,639
6,262

Total, including other revenue—
Expenses—Maintenance of way—Maintenance of equipment

22,986

Transportation expenses. —

1,654

3,241

Tgoq

*7,91$

73,307

60,637

1.228

30,479

24,671

expenses

-

"

Total. including general
Pet from railroad——

831
Cr2

>

utsidd operations, net-.—-^—
Total net revenue

axesi—fU—'JL

2.591
395

—

—

Final net—1—
i—
[ilea of road operated.....




-

1,228

■

•.

►

■

87

:

Traffic

expenses

Transportation

-

507
721

24,712

19;038

",Final net.—
MUeg of road

—

22.619
-

-

648.
—1,

958

743,275
90,652

"

647,2U

652.623

462.241

84.m

207

184,139
-70,357

3,194,404
1,158,613

3^74,601
1,213,416

301,843
137,251
66,490
13,752

4,657,947

5,003,093

853,520
736.985
162,145
2,022,578

773,008
652,961
165,508
2,059.444

397,172 " 3,921,687

3,799,074

164.782
322,461

173,224

'

16X36
Y.'

—95,329

2,776

Outside operations, net—.iw—
Total net revenue...
Taxes.
i—ULL-

27

41.838

61,890
15,189

———

24,671
5,633

.

6,828

68,566

———-

30,479
5,767

1.392.665

742,317

338,598

expenses.—-

railroad

1,573.056

~

235,079
327,680
93,977
657,826

202,851
95,315

Total, including generalNet from

_

1,940,954

29.448

207

44,877
34,888

19

Maintenance of equipment

Traffic

<

52,354
45,631

_wJ—.

xpehses—Maintenance of way...
1

Final net——

33,526
--4,078

7.405

—

5,717
2,820

103,787
32,284
9,23$
116
21,817

113,066

49.244

—

8,591
2,596
1,114

revenue..

-

48.200
1,043

—

4,220
3,745

revenuei.LJS*.1.1

assenger

„

53,489

138,492

Miles of road operated

366

8,160

58,104

expenses

Total. Including general—

16,934
40

.

8,276

expenses

Net from railroad.—--..
Outside operations, net

*-

...

-

2,315,373
281,762
424,196
88.384
709,847

^

=

—1,973

18,913
17,718

736,260
—19,847
716.413

—97,303
18,370

220,693

1,209,018
—23,756

1,185,261
222^62

r

"

—

1.194

operated.—404

^-115,673 '
-

<-404

495.719

962,899
'-♦U'-P

14

RAILWAY EARNINGS
Southern Pacific

System—Concluded

—July 1 to June 30_

1912-13.

-

*

Texas & New Orleans

Freight revenue
Passenger revenue
Expenses
1

4.269,376
925,011

3,783,781
635,323
822,854

349,169
84,129

99,008
1,567,679

7,267
142,973

346,594
46,006
87,073
7,723
135,178

3,758,386

3,255,432

338,210

286,982

~~5T0,989

538,348
—1,970

10,958
—6,024

59,611
154

511,960
154,909

526,378
170,349

4,933
13,137

59,766
12,486

357,051

356,028

—8,204

47.279

458

i

way—.

878,110
100,407
1,708,165

expenses

expenses

Total, including general

:

-Net from railroad

•Outsideoperations.net

971

Total net revenue

T*xes

*.

„

Final net
CMiles of road operated
....

;

Month

.....

Total, including general.*

net.

„

Net from railroad

Total net

Final

—..23,130,273

—i

#2,036,285

net
—

Oregon Short Lin®

168.087

1,708,640
Expenses^—Maintenance of way.202,910
Maintenance of equipment-....
130,956
Traffic expenses
30,038
Transportation expenses...
419,462
Total, including general

829,380

Outsideoperations.net—
Taxes

—251

823,385
60,750

•

768,205
1,974

—

Miles of road operated

9,150,864

893,114
502,001

Traffic
,

.

Transportation exposes
Total, including general

Mot from railroad.

49,544
472,345

1,315,623
216,893
1,733,340
52,243
485,046

•Taxes——
Final

net

*

.Miles of road operated...*

971,086

*

344,537
->-9,552

5,951,081
—62,870
5,888,210
1,191,097

264,131
1,919

7,398,678
•.Expenses—Maintenance of way.__
864,113
Maintenance of equipment796,537
Traffic expenses*
222,005
Transportation expenses..
1,956,253
Total, Including general---.— 4,072,767
—4,775

Total net revenue

fTaxes

—

Tina!

-

net

3,321,134
371,090

St Joseph & Grand Island
Fpeight revenue
Passenger revenue
———

.

Total, including other revenue._
Expenses-rMaintenance of way—
JMaintenance of equipment

Total, including general——

1,411,637

'SNet from railroad
Total net

Final

Taxes
Final

United

38,663 ~
319

28,459
319

Total, including other

9,012,362

.

5,109,387

4,668,752

.

3,902.974

3.788^13

expenses

Total, including general
Mdtfrom railroad
Outside operations, net—
Total net revenue

3,902,974

,

Taxes

*..y

Final netAilles of road operated

--.*—




979.615
38,084

46,619

94,441
146.661
12,611
227,253

1,028,428
77,692
135,757
9,583
216,988

491,591

677,775

558.398

4.549,510

407,620

566,603

4,549,51 '
255,359
4,294.150

407.620
27,650

■

566.603
20,333
*

379,970

546,270
822

^

*'

.....

"

""134

1,376
657.775

542.325

72,040

58,277

147,635

116,746
103,311

18,099

13,785
9,003

,127.167

11,748

285.127

209",816

26,645

561,671

431,608

56.713

96,104

110,716
110,716
39,341

15.326

71.371

71,375

20", 845
43,764

15,326

96,104
24,732

*

•

14,512

*

revenue

....

2,409

12,916

11,643

10

—

14.512
2,860

10

•

*

*

revenue..

273.206
48,985

194,304
33,430

40,746

26.647
2,777
5,108

22,710
3,687

55.977
151.487

123,266

12,424

12", 123

257,242

198.049

20.387

19,024

15,964

—3,744

6.259

3,695

—3,744

3,130

expenses
_

*■

general—,.—'
"
...

Final

15,964

6,755

7,3781

6,259
647

9,208

—11,122

5,611

3,059

5

.1"

net

5

Miles of road operated

3,695
.635

-

Mercer

Valley

—Month

,

of August—

—July 1 to Aug. 31—

-

Freight revenue..
Passenger revenue
Total, including other revenue..
Expenses—Maintenance of way..*
Maintenance of equipment..
;
Traffic

11,190
2,157
1,408

7,818
2,113
1,183

expenses

.

23,229
5.765
2,490

14,109
2,764
1,964

5

~

Transportation expenses—

~9~658

(4636

18,484

Total, including general

13,311

9,013

26.919

16,098

—2,120

—1,195

—3,690

—1,989

—1,195

—3,690

—1,989

85

150

170

—1,280

—3,840

—2,150

Net from railroad

li"199

Outside operations, net
Total net

revenue

...

—2,120

Taxes
Final

75
O

net

1QK

...

3

Freight revenue
Passenger revenue

of June

July 1 to June 30—
"

756

""593

"8",371

7,056

61,080
8.242
19,092

57,558
3,809
18,647

715,424
81,181
195,169

579,862
45,545

159,167

21,712

Total, including other revenue.
Expenses—Maintenance of way..
Maintenance of equipment
Traffic

—Month

3

18,762

269,618

251,365

50,922

43,268

569,283

436,913

10,158

14,289

146,141

142,040

10,158 1
3,366

14,289

3,478

146,141
52,784

10,811

93,356

.

expenses

Transportation expenses
Total, including general,
Net from railroad

......

Outside operations, net

3,788,513
121,473

600,585
38,000

3,610,023 ,3,667,039

562,585

568,775

203

203

392,950

693,652

5,434,382

Total net revenue
Taxes

450,652

600,585
•

...

4.938

299.781

6.171..241

801

Newburgh & South Shore

1,092,177

982,050
1,708,771
108,586
2,175,829

8,457,266
783,658
1,550,993
105,301
2,105,549

way...
Maintenance of equipment.—.
Traffic expenses
1

40

1,125,001
114,251
160,796
4,414
262,433

"

61395

1,034,107

Expenses—Maintenance of

•

404,905

Total, Including

—618

Corporation
8,000,695
340,577

revenue..

4

1.101.273
174.124
196.119

7,511,494

Miles of road operated

«,509,688
368,161

—

1,017,565

108 *

10,720,751
993,406
1,840,565
52,077
3,094,427

5,839,287

Net from railroad
Outside operations, net

34,855

States Steel

Bessemer & Lake Erie
Freight revenue
aPassenger revenue...

Transportation

44,907
6,244

;

1,026,049

10,083,625

132

...

Transportation expenses

108J87

163,434

*

12,385,212

revenue.,

......

net.

Traffic

35,474

80,858

636,208
351

Expenses—Maintenance of way
Maintenance of equipment.....

54,157

130,165

82.575

772,221

4,387

5,839.287

Total, Including other

4,744

44,991
—84

73,986

3,728,691

4,278,575
....

revenue

Freight revenue
Passenger revenue

19,919

162,155
1,279

66,927

-

net

Miles of road operated

347,077

McKeesport Connecting

36,517

140,914

revenue

683,259
687,596
51,387

Miles of road operated

144,262
24,679

141,828
—914

<0utside operations, net.

839.692
6,122

845,814
73,593

42,440

expenses

Total net
Taxes

95,753

4,900
63,728

274,731
280,465
59,707
691,661

4,033,328

,4,075,768
'

f

129,702
33,605
175,157
33,007
22,023

1,383,670

Traffic .expenses

Transportation

•

Month of July
.

1,545,825

expenses—.—*

1,553,465
353,566
232,204
58,536
€98,712

161,385

104,862
83,045
1,914

99.766
2,013

'

356

*

Net from railroad
Outside operations, net

2,359,779 34,941,965 31,219,412
7,256 (See this road on p. 32).

—July 1 to June 30
1,024,263
996,848
,—
385,685
405,478

34,360

361.465

Total, including general

2,669,280 39,608,241 35,588,200
309,501 " 4,666,275
4,368,788
•

1,044,674

195,333

Transportation expenses

2,682,319 39,712,739 35,646,775
—13,039 j^-104,496
—58,572

2,950,042
' 7,472

^Milee'Of road operated..*

1,002,254

1.267,467
120,309

427,775

29,094

net...

Traffic

4,073,362 52,097,566 48,533,319

3,325,910

1,224,876
32,837

3,410,379

4,701,841
423,265

Maintenance of equipment

6,755,683 91,810,306 84,180,095
1,003,603 10,688,562
9,594,537
2,365,837 10,694,010
9,812,174
185,263
2,107,144
2,119,602
1,895,185 26,077,118 24,755,319

SNet from railroad—

Month of July

•

1,372,147

Total, including other revenue..
Expenses—Maintenance of way

4,366,628 63,773,802 57,483,556
1,785,168 20,582,424 19,754,096

cOotside operations, net——

273

7,443,707

.fc4.672,746

Lake Terminal
Freight revenue
Passenger revenue..

4,697,113 1'4,264,173

4,815,886
1,897,409

«

10,564

3.803,358

Miles of road operated

5,407,340
1,143,167

Total, including other revenue..

.

613,194
12,187
1,361,865

1,597,448

25,007

Net from railroad
Outside operations, net

Final

,

891,543
679.920
11,601

1,676,712

net

Total net
Taxes

*

6,684,437
925,159

1,060,998
798,650
22,588

expenses

Total, Including general..

Total Company

•Fright revenue
Passenger revenue—.

3,344.062

13,350.782
Expenses—Maintenance of way..,
1,415,968
Maintenance of equipment-.... 2,051.942
Traffic expenses
60,341
Transportation expenses
*
3,771,063

5,420,402
—13,061

334,985
70,854
,

3,461,883

expenses

Total, including other

12,253,138 10,878,279

363,241
1,917

537,044

272

8,476,104
967,088
979,656

Maintenance of equipment—

Elgin Joliet & Eastern
Freight revenue...
Passenger revenue.

18,204,220 16,298,681
2,547,256
2,187,699
1,993,733
1,764,373
561,040
536,460
6,551,554
5,854,753

486,224
122,983

Total net revenue..

3,652,101
308,038

6,320,178
254,008

263,163

•

495,970
—9,745.'

*

Outsideoperations.net

,

Final

9,161,136

995,580

expenses.

3,823,844
361.960

—July 1 to June 30—
7,946,030
6,900,527
442.282
447,200

of way

Miles of road operated..

775,692 11,848,234 10,213,746
5,142,113
4,941,563

!

•

revenue..

Total net revenue..
Taxes

439,833

Total, including other revenue— 1,491,550
Expenses—Maintenance of way
253,453
Maintenance of equipment
166,256

575,382
38,338

-

593,781

Total, Including general..

Oregon-Wash RR & Nav
Freight revenue
Passenger revenue...

3,641,536

■

Net from railroad
Outside operations, net

,

762,635
1,762

3,042,901

3,797,610
26,233

.....

Transportation

10,589,758 10,345,601
1,438,893
1,184,465

r

j

Traffic

10,590,054 10,354,746
—296
—9,144

878,071
109,865

net

■■

11,429,802 10,340,612

823,636

—1,189

revenue
—(

Final

843,955

£79^60

Net from railroad..

net

Expenses—Maintenance

1,667,592 22,019,856 20,695,358
221,935
2,474,186
2,491,454
161,898
2,480,633
2,000,597
35,042
370,266
351,078
390,513
5,574,422
5,069,545

revenue..

3,324,108

573,334
2,048

658,666
64,885

...

Total, Including other

1,948,719
3,575

*

379,900

648,244
10,421

Freight revenue
Passenger revenue

2,126,606
177,887

1,685,198
3,610

6.750,767
7,121,718

.

Month of June-——July 1 to June 30—
1,103,603
1,129,949 15,694,602 14,802,624
458,001
427,567
4,910,725
4,613,529

V

Total, including other

1,853,286

17,794,103

58,792

404,524

*

Total net revenue

520~

-

12,380

3

'V

925,830
19,764

expenses..

Total, including general

2,126,085,
•

61,899
3,107

68,327
1,085
199,233

of way

Net from railroad.
Outside operations, net

2,114,845

—2,928

248

953,234
135,445
63,117
2,730
169,492

expenses..

Transportation

4,240,931
441,863
456,147
81,026
1,032,489

1,866,214

334

11,391

1,052,769
125,245

revenue..

Duluth Missabe & Northern

19,835,259
2,041,156

21,093,988
"

Freight revenue
Passenger revenue

Total net

Traffic

Month of July
2,870,406
2,847,837
1,008,164
1,020,944

19,871,627
—36,367

61,899

1,021,294
23,817

Maintenance of equipment

System

-.23,171,604
—41,330

.Miles of road operated

v

Expenses—Maintenance

Final

2,435,985

14,862
14,862

-

Miles of road, operated

revenue

Taxes.

....

...

2,734,769 44,091,523 40,093,246
10,330 (See this road on p. 32.)

4,292,199
482,030
608,336
112,689
1,113,058

11,725
11,725

2,074

Taxes

Total, including general......28,414,626 27,314,428

Outeide operations

2,783

Total, Including other

3,324,558 49,751,735 45,841,688
589,784
5,660,219,5,748,438

<•

168,617

Duluth & Iron Range

82,227,008 76,443,446

32,467,186
10,199,004

83,174

155,135

•--]*—

6,469,990

Total, including other revenue..51,586,230 47,186,056
Expenses—Maintenance of way— 5,667,120
4,915,384
Maintenance of equipment.
6,219,644
6,047,204
Traffic expenses
1,175,838
1,232,064
Transportation expenses
13,951,142 13,830,810
r

net

3,361,006 48,323,293 45.745,586
—36,446
1,428,442
96<105

36,230,966
10,529,586

91,558

11,119

230.517
44,227
36,277

2,783
709

Freight revenue
Passenger revenue

1,235,209 15,625,238 14,688,816
1,387,037 19,303,589 16,415,173
3,112,358
3,221,398
302,072
3,239,160 40,448,912 38,676,570

—July 1 to June 30

"~6~, 985

169,997
11,837
44,379

381

......r.

Miles of road operated.*.

9,831,001130,550,305122,189,038

Union Pacific
*

...

revenue

3,245,508
10,358

.......

Miles of road operated

Union Pacific
Freight revenue
Passenger revenue.

Final

.

7,463
12.859

22,845

"

Net from railroad..
Outside operations, net
Total net
Taxes

'3.181

!

expenses

Total, including general

3,689,271
443,757

revenue

Taxes
Pinal

%

15,643
1.134
3,655

of way...

expenses

Transportation

6,934,839

Outsideoperations.net..

revenue..

Maintenance of equipment
Traffic

3,694,627
—5,357

INefc from railroad-

Total net

;

July 1 to June 30—
5,741,398 80,260,874 73,949,315
3,315,745 41,306,326 39,802,475

3,506,824

Total, including other revenue..10,629,471
Expenses—Maintenance of way... 1,348,035
.Maintenance of equipment..—
594,180
'Traffic expenses.—
269,284
;Transportation expenses
3,387,464

1.

July 1 to June 30—
1912-13.
1911-12.
3
3

1912.

ZZ'm

Total, including other
Expenses—Maintenance

of June

6,301,261

...

239,913
87,217

90,816

;..

Total of roads above—
'freight revenue
Passenger revenue..

•

xcrrn.

458

revenue..

-j^ntenance °f equipment

"Transportation

of June
•

3

Freight revenue
Passenger revenue

$

2,648,268
1,007,217

.

Maintenance °f

•Traffic

$
215,240
110,769

$

1913.

Donora Southern

2,816,430
1,185,743

.

Total, including other
'

55

-Month

,

Month of July
1913.
1912.

1911-12.

[Vol.

'

577,775

"

9!000

Total net revenue.......
Taxes
Final net
Mile® of road operated..........

13

13

142.94ft
,,

47,23ft
95.718

United States

-Month

Steel Corporation—Concluded
Month
$

St Clair Terminal

$

$

18,568
2.466

Expenses—Maintenance of way—

5,269

Maintenance of equipment
expenses

6,926

If,824

77.675

14,166

157.212

Transportation expenses.

3,808

Net from railroad

3,808

Taxes

300

4,200

3,708

net

17,933

58,275

.

62,475

502,248
29,936
99,930

505.553
48.994
108.017

4,708.718
427,112
1,097.295

100

100

1.320

1,791,327

287,636

3,363,417

—9,793

19,346

44,580
794

48,345

531,239
9,241

472,494
7,939

45,856
7,992
10,968
811

49,441
5,007

9,226

7,728

547,679
91,394
99,311
10,182
106,749

484,315
64,504
69,509
9,608
94,880

31,289

22,375

338,515

273,742

14,566

27,065

209,164

210,573
—2,068

14,566
100

27,065
100

209,164
1,200

208,504
1,200

14,466

26.965

207,964

207.304

22

22

675,411
51,868

615,380
53,030

6,767,830

6,434,093
603,763

Total, including other revenue—

765,696

7,831,948

192,340

1,285,931
1,657,174
98,304
2,609,472

7,498,146
871,514
1,402,075
90,314
2,485,883

1,345.300
13,507

"216,415
4,750

1,358.808

10,000

86.750

168,318

211,665

1,272,058

31

equipment

Traffic expenses

1,376,759

31

Maintenance of

1,449,082
72,322

operated

—

Expenses—Maintenance of way—

1,410,475
38,607

—1,768

—

net

i.

Transportation expenses
Total, including general
Net from railroad..

operations, net

Outside

———

-

...—

Final net

6,096
918

—---

Total net revenue
Taxes

1

Miles of road

673

-

...

operated

Wabash System

,

1

—July

Wabash

Freight revenue
Passenger revenue

to

,>

Wheeling & Lake Erie

Month of July-

June 30—

1,807.635
711,765

21,7741: ,362 19.074,821
6,993,873
7,2681,288

——

Freight revenue —
Passenger revenue

' —
1,692,032
656,502

28,354.764
3,889.590
>,497
Maintenance of equipment—— 5,330
5,312.741
">,136
953,131
Traffic expenses
1,025
Transportation expenses
13,214t,058 12,137,368

2,737,815

24,693,489 23,150,484

2,0417574

5,204.279
—33,175

696,241
—4,130

7,021,113
905,891

5,171,104
851,629

692,111
74,447

4,319,474

617,663
2,514

478,288
2,514

186,285
7,346

Transportation expenses

549.943
71,655

6,115,222

Traffic expenses

553,741
—3,797

4,330>.278

Total, including general
Net from railroad—j

7,075,797

...

—54,683

operations, net

Total net revenue
—-

-

——

Miles of road operated

392,671

467,794
91,400
1,023,628

—

624,375

242,069

706,361
73,924
112,542
8,051
221,419

671,558

450,177

5,890,639

5,038,335

94,138

2,073

256,183
1,102

1,941,308
29,698

2,459,811
25,933

96,211
32,209

257,286
33,959

1,971,007
362,425

2,485,744
367,225

64,002

223,326

1,608,581

2,118,519

1,996,269

1,286
Total, Including other revenue.-31,769

Expenses—Maintenance of way

Final net

of road operated

Total, including other revenue._

2.985.974

214,612
1,802

178.318

Taxes

91,346"
72,000

63

1,568,613

180.087

Outside operations, net.

Outside

92,418

2,354

1,219

153.300

325.465
.

Final

570,401

—1,071

63

Final net

4,396.450
-381,809
991,135

163.133

expenses

Transportation expenses

Miles of road

80,206

West Side Belt

Total, including other revenueExpenses—Maintenance of way
Maintenance of equipment-

„

734,111

8,109

8,756

—-

Freight revenue
Passenger revenue

.

52,126

80,206
90,000

Miles

Freight revenue
Passenger revenue

Taxes

19,860
259,784

8,354
6,000

Union RR (of Pennsylvania)

Traffic

21,208
306,296

Expenses—Maintenance of way—

108,293

7

2,049
23,175

7

•r

Miles of road operated.

662,819
97,037

16,256
7,500

Taxes

111,559
3,265

-——...

...

Final

18,233

814,318
164,342

-—-

._

Total net revenue

60,236
9,761

244

Total net revenue—

*

Outside operations, net

—

Outside operations, net.

111,559

62,475

18,233

*

Total, including general
Net from railroad

542,639
82,436

16,256

Traffic expenses

124,680

$

$

676,560
89,440

76,666

Maintenance of equipment---..

65,764

14,759

Transportation expenses—
Total, including general

Total, including other revenue—"
Expenses—Maintenance of way

3

"

1911-12.

1912-13.

50,388
6,641

92,923
16,700
25,548
1,282
28,663

Passenger revenue

236,239
20,411
37.464

219,687
25,213
53,092

32,400
3,220
4,961

S

81,559
7,379

Freight revenue

Freight revenue
Passenger revenue
Total, including other revenue-

—July 1 to June 30—

1912.

$

Wabash-Pittsburgh Terminal

1911-12
$

1912-13.

1912.

of June

1913.

—July 1 to June 30—

of Jun

1913.

Traffic

IS

RAILWAY EARNINGS

Sept., 1913.]

2,550,010
363,504
524,694
94,282

Maintenance of

951.693

equipment

Total, including general
Net from railroad

»■.—

Outside operations, net

Total net revenue.

—

—

Taxes

Final net
Miles of road operated

459

457

v

Alabama New Orl & Tex Pac June
of

—July

June

1 to June 30—

1912-13.

1912.

1913.

Vicksburg Shreveport & Pacific
of June
-July 1 to June 30—
V

New Orleans & Northeastern

Alabama & Vicksburg
—Month

EARNINGS

1911-12

Month

—Month

July 1 to June 30—

of June

1913.

1912.

1912-13.

1913.

1911-12.

1912 -13.

1912.

1911-12.

91,034
41,867

77,958
34,600

1,240,790
491,426

1,013,973
473,552

262,560
54,334

213,114
48,782

2,834,236
646,912

2,861,931
627,250

67,241
46,224

61,161
30,952

1,029,980
532,142

784,200
441,725

122,059
16,255
18,787
3.872
44,407

1,861,937
287.033

3,764,458
394,727
749,603
119,905
1,455,169

3,765,753
365,273
701,356
113,573
1,458,046

104,144
10,880

126,265

294,963
29,471
50,432
11,194
129,712

124,386
21,862

371.897
43,603
641,103

1,605,189
240,607
319,954
45,592
573.972

340,392
31.528

Transportation exp.

144,869
18,468
42,297
3,712
48,793

Tot., incl. general

118,699

88,719

1,404,598

1,242,206

267.635

231,630

2,866,047

26.169

33.339

457,338

63,332

833

—2,968

362,982
—8.402

72.757,

—700

25

83

898,411
—3,387

.25,469

34.173
7,111

454,369
69,558

354,580
60,607

72,783
11,765

63,416
12,264

895,023
147,147

Freight revenue
Passenger revenue

—

Tot.,incl. other rev.
Ejroenses—Maint.way
Maint. of equipm't.
Traffic expenses

—

Net from railroad
Outside operations, net

Total net revenue..

5,272

Taxes

20,196

293,972

61,017

51,152

195

384,811

27,061

142

Final net

86.948
10.613

of June—

—July
"

3,262
36,118

40,296
566,352

2,778,333

103,525

70.367

1,303,813

1,046,532

987,419
—8,033

20,860

33,777

—72

—601

402,104
—4,310

—2,405

979,386
109,184

20,787
6,500

33,175
6,341

397.794

74,434

304,575
80,612

870,201

14,287

26,834

323,359

223,962

171

171

747,876

Alabama Tennessee & Northern

Abilene & Southern
-Month

14.055

3,813
45.459

1,353,513
255,471
249.031
38,612
446,748

195

142

Miles of road operated

27,412

1,705,917
323,627
.312,023

1 to June 30—

July 1 to June 30

Aliquippa & Southern
Month of July

—July 1 to June 30

—Month of July-

1911-12.

1913.

1912.

1912-13.

1911-12.

S

$

$

$

%

S

—

5,974
3,329

111,131
43.405

110,944
47,172

72,456
11,116

10.023

87,558
21,768
8,502
1,286
20,325

42,901

$

4,722

6,551

7,912
3,854

327,930
21,199
59,176

134,919
13,603
27,469

436

5

7

535

164,717
12,210
11,981

309

226

3,780

Transportation exp.

4,684

4,536

62,299

166.957
12,229
6,828
3,438
58,856

10,365

178,946

Tot., incl. general

7,636

7,234

100,453

92,112

57,066

24,945

263,381

Net from railroad
Outside operations, net

1,389

2,789

64,264

74,844

30,492

17,956

64,548»

Traffic expenses

21,214

80,400

1,141

29,764
1,731
4,829
16,701

11,226

124,291

756

1,194

23,590

15,095

10,628

6,174

6,119
6,119

554

3,021

1,389

2,789

64,264

500

5,059

74,844
6,106

30,492
2,362

17,956
1,181

64,548

272

3,640

10,628
2,274

307

293

1,117

2.289

59,205

68,738

28,129

16.774

60,908

8,353

5,867

5,825

96

Total net revenue..

6,174

96

4

4

Taxes
Final net

Miles of road operated

185

1913.

1912.

1912-13.

1911-12.

*

1911-12.

1912-13

$

S

$

,

$

Freight revenue
Passenger revenue

1,381,715
549.661

1,447,073
541,173

Tot., Incl. other rev.
Expenses—Maint.way
Maint. of equipm't.

2,072,702
295,140
259.188

2,120,384
238,049
236.677
50,442
800,710

Traffic expenses

49.640

743,893

exp.

-July 1 to June 30-

-Month of July

July 1 to June 30
EARNINGS

Arizona & New Mexico

Appalachicola Northern

Ann Arbor

Transportstlon

•

34.467

1

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.

1912.

*

S

$

9,026

Freight revenue.
Passenger revenue

1912-13.

1913.

$

1911-12.

$
5,036
3,156

306,980

-Month

Month of July
1912.
$
$

of June

-July 1 to June 30—

13,804
7,164

13,164
6,665

73,406
9,114

1912.
$
68,886
7,783

23,279
5,316
3,043

21,524
4,992
2,304

86,097
12,876
10,584

82,178
5.824
5,867

1913.

1913.

8

1912-13.
$

1911-12.

$

905,789
108,115

741,005
82,992
872,132
83,217
69,514
3.563
165,707

106,260

104,62 3

58,621

56,602

160,484
72,658

148.556

177,822
25,786
22.748
4,817
60,064

173,143
21,241
19,945
4,164
63,095

261,739
46,139
31,643
2,905
74,090

236,475
43,885
3,494
65,295

6,308

6,249

15,061

15.367

1,060,291
156.218
89,620
9,263
192,904

117,254

172,789

152,672

16,469

15.300

44,313

31,278

488,301

357,019

88,949

83,802

6.810

6,223

41,784

50899

571,990

515,lli

6,223

'

68,100

23.881

239

858

295

400

1,435,083

1,419,448

120,184

Net from railroad

637.618

57,638

65,889

Outside operations, net

—8.944

700,936
—7,679

—456

500

628,674
167,158

693,257
167,826

57,181
13,930

56,390
13,929

88.949
10.950

83,802
'9,960

(L810
950

800

41,784
5,400

50.899
2,500

571,990
40,248

515,113
28.062

461,516

525,430

43,251

42,460

77,999

73,842

5,860

5,423

36,384

48.399

531,742

487.050

291

291

102

102

108

108

Tot., incl. general

'

Total net revenue..
Taxes
Final net

Miles of road operated

Month

EARNINGS

1913.

July 1 to June 30—
1912-13.
1911-12.

of June
1912.

S

Transportation

—

11,768
4,687

11,288

3,531

10.490
2,653
2,586

47",742

"5",354
10,348

9.632

5,149

858

5,149

858

900

1911-12.
S

"~3~, 857

111,293

164,252

128,530

15,498

36,823
29,640

25,713
29,602

2,587
1,955

60",824

14.149

10,301

133.809

113,364

135,531

—7,361

—4,809

—33,446

—29,304

28,721

17,236

—7,361

—1,809
282

—33,446
5,035

—29.304

401

28,721
10,915

993

S

6,197
3,040

84,060
29,246
15,464
5,774
42,899

345

1912-13.

6,583
2.850

100,363
40,500
21,797
6,587
45,731

exp.

Traffic expenses

—July 1 to June 30—

$

2,929
1,363

3,906

1,241

of June
1912.

1913.

$

51,856
14,300

Tot., incl. general

Expenses—Maint.way
Maint. of equipm't.

1912.

51,522
19,192

5,492

—Month

-Month of July

1913.
$

48,746
24,003

6,788
2,301
5,743
623
3.829

...

S

60.472
29,933

3.305

Tot., incl. other rev.

—July 1 to June 30—
1912-13.
1911-12.
S

S

$

3,770
2,296

Freight revenue
Passenger revenue

Atchison & Eastern Bridge

Ashland Coal & Iron

Arkansas Louisiana & Gulf

2,412
906

297

82.944
34,565

146,602
9,073

~

86,722
35,805

140,13?
3,380

13.924

8,615

38,721

30.498

-2.156

2,672

107,881

109,638

—2,156
1,158

2,672
1,047

107,881
13,455

109,638

700
158

—3,314

1,625

94.425

97.892

22

.35

.35

1

Net from railroad

Outside operations, net
"

Total net revenue..
Taxes

Final net

Miles of road operated




7,763

6.091

61

61

—38,481

4,847

—34,161

17,806

.
•

17,236
8.425

;

8,811
30

.

11,746

w

RAILWAY EARNINGS
Atlanta & St Andrews Bay

—July 1 to June 30—
1912-13.
1911-12.

EAR-VINOS

%

Freight revenue
Passenger revenue

209,286

45,498

"8,777
9.477

19,107
2,393
1,230

exp.

37,372
3,249
51,079

19,389
3,998
3,274

181

Tot.» incl. general

152,532

Net from railroad.
Outside operations, net

84,549

Transportation

220

3,471

3,765

Total net revenue.-

--

124,284

8,433

85,002

-

10,674

"

84,549
6,955

85,002
6,919

7,759

'

78,083

July 1 to June 30—

1912.

$'

5

^91|-13.

43.267
41,037

632,008
487,147

660,798
477,587

160,922
52,081

91,182
9,926
16,655
5,751
41,325

91.236

1,238,926
149,038
228,858
64,466
419,928

1,263,363
146,479
245,920
57,630
410,245

232,584

35,515

216.660

76,068

78,934

918,939

917,396

12.302

319,986
1,862

345,966
1,710

621

'

-Month

s
$

3,246,301
363,134
206,175
1,288,646

210,213

15,923

574,432

183,403
1,305,445

' 2,676,744

2,560,476

IO7Q34 :

-

sedidi
li "1

13,487
11,491

12,924
15,255

321,849
81,274

347,677
72,335

15,923
14,336

10,034
15,700

6,315

1,995

—2,331

240,574

275,341

0.82

1,587

■—5,665

92

92

Belt

.

645

Railway of Chicago

July 1 to June 30— —July 1 to June 30

1912.

$

3,243,045
529,743

622,252

10,124

of June

1913.

'

46,564
18,441
98,748

6,865
550

Bangor & Aroostook
EARNINGS

2,405,340
658,130

55,045

•

10,674
550

-

654,987

220,247

142,868
43,307
15,240
104,639

11,289
16,635
4.588
41,044

1911-12.

2,358,795

149,556

6.82

•

Miles of road operated

Freight revenue
Passenger revenue

of June

1913 J

15.113
—1,626

12,524
,6,865

•

Month

1911412.
S

42,823
39.632

(■

Taxes
Final net

.

1912-13.
$

1912* 1912-13.

1911-12.

1912-13.

'*
*

$

190,727
56,702

164,351
53,435

2,452.468
626,929

Tot., Incl. other rev.

273,157
11,242
26,677
2,392

3,255,936
'493,448

3,345,240.
551,687
346,995
45,963

3

—

'

■676,825

J i.

566,301
164,235

676,825
173,500

402,065

503,325

661

-

—yjulv. 1 to June 30
1912-13.

$

Month of
1913.

1911-12.

s

Ju^——

*

2,525,534
631,264

Expenses—Maint .way

5

'

-

Benwood & Wheeling
Connecting

r—Month of July-*—
1913.
1912.

-1911-12.
>

.

xcvii.

Atlanta Birmingham & Atlantic

—r-July 1 ^ to June 30*-

--

$

-7,335
9,783.

36,623
25,467
3,114
42,507

Traffic expenses

of June
1912,

8

'94,672

237,082

-Month
1913.

—-

-

"pQt.i incl. other rev.
Expenses—Malnt .way
oMaint. of equipm't.

Atlanta & West Point

-Month of
1913.

10^,129

113,523
99,546

[Vol.

iiii

Transportation exp.

74,793

234,218
84,059
15,673
3,350
78,040

1,117,522

1,066,528

1,331,104

2,663,223
169,335
316.321
6,759
1,068,188

92,015

Tot., incl. general

70,998

61,917

6 ,745

130,459

5,563

192,915

2,219,095

2,148,672

2,031,199

1,623,955

162,542

141,473

127,273

108,223

11,074

9,700

142,698

41,302

net

1,196,568

1,162,007

1,039,267

96,056

^621

73

1,036,840
1,950

95,980

11.957

—8,841

U74Q

1.259

Total net revenue.-

142,076

Or2^472

41,228
11,627

1,034,889
110,586

1,193,127
119,402

1,162,007
100,226

1,039,267
83,274

96,056
9,770

95,980
6.540

.,11,957

l'7!8
60

1.259

722

-8,841
806

144,549

29,600

924,302

1,073,724
on p. 30.)

1.061,781

955,993

86,286

89,440.

11,234

-9,647

1,680

1,199

2

2

Maint. of equipm't.
Traffic expenses

...

Net from railroad
Outside operations,
Taxes
Final net

Miles of road operated

630

41,367
37,385

•

"

630 (See this road

3.193,207
195.306
430,157
6,195

EARNINGS
'

! "

-

*

-

1912.

1912-13.
> S

$

■?

1,076,013

89,592

1,133,106

5,597
8,036

726

Expenses—Maint .way

86.473
2,895

137,523
54,799
22,118

—

Tot., Incl. other rev.

July 1 to June 30—
1912-13.
1911-12.

1911-12.

133,275
3,827

...

377

$

691,899
16,101

891,965
200,361
4,338
324,883

Total net revenue.

EARNINGS

25,004

809,348

718,634

71,716

58,468

71,377

628,642

410,003

467,279

173,331

47,074

26.824

35,679 V

14

534

45,334
2,917

221

236

*$0,173

438,788

145,138

45,269

24,628

34,040

42,417

43

2,091

2.918

41

29

29

26

•

1912.

$
15,205

1912-13*

376

-Month of June
July 1 to June 30— —July 1 to June 30
1913*
1912i
1912-13.
1911-?12.s.
1912-13.
1911-12.
I
$ ;
$
$
6,006 .
115,334
111,535
1,688,761
1,554,376
3,577
3,705,
51,690
52,219
99,347
104,768
10,637
10.157
178,131
174,283
1.838,674
1,717,512
2,591
1,987
- 340,667
28,235
22,068
345,301
3,590
1,964
26,604
23,836
267,508
321,857
348
227
3,333
4,794
14,629
17,825
7,784
4,845
79,872
61,454
633,218
648,074'
15,970
10,811
153,131
.122,485
1,326,853
1,40.7,309

1911-12.

3,657

$

■

.

222,967
19,337

16,267

5,577

5,272

70,248

253,324
41.683
54,727
3,232
60,384

14,809

15,014

185,478

172,883

4,129
1,120

6,470

•.77,822

80,440

3.168

1,120

3,168

5,249
1,042

9,639
1,460

78,942

83,609

13,042

14,350

800

4,206

8,179

65,899

69,259

-6,132

90

Transportation exp

Totincl. general
Net from railroad

Qutside operations, net
Total net revenue..

Taxes
,

90

Miles of road operated

-5,332
-5,332

EARNINGS
—

f

Tot 1, incl. other rev.
Expenses—Maint. way
Maint. of equipm't.
—

Transportation exp
Tot., ipcl. general
Net from railroad

12,565

455

514

272.558

21,304

794,678.

725,119.

61,548

,

-150,836

595,572
96,774
318,545
6,038

56.811

50,261
9,441

10,947,246
1,557,963
2,161,210
141,659
3,580,617
7,665,891

26,643

'

1,254
77

i

906,086
123,773

4,761

63

63

18,257
1,670

267,741
5,72

,392

4,698

16,580

34

37

(See this road

Butte Anaconda & Pacific

12,966

—

10,195

111,019
Cr6,371

100,295

24,767

18,809

646

Tot., incl. general.
railroad....

43,713

1,330,940
133,891
265,192
8,448
631,110

69,882-

...

783

45,776

,

94,117

1,075,174

27,642

"

on

p.

325,979

of June

v

576

i

12,290
1,927

109,190
20,245

136,332

2?,315
168.614
21.211
30,840
1,539

i

$

3,139

3,260

43,483

2,861

28,710

945,494

6.501

7,020

82.093

102,663

13,266

123,356

58,208

65,951

58.208

65.951

,

24,688

44

579

6,609

4,178
72

331,126

181,620

9,484
31

7,686

51,599

July 1 to June 30—
V
1911-12.

1912 -13.
$

-•

21,422
7,904

351,732

300,526

114,421

99,340

7,307

30,499
3,419

2,549

27,079

31

r

493,267
86,767
56,492
7.991
167,247-

424,209

30—

17,075

31,344
6,993
4,081

707

787

23,566

12,044

1

40,791-

78,863

39,371
7,558
146.343

98,030

25,90ft

346,805

297,624

5,434

146,462

136,584

5.434

146.462
14,415

126,584

-

—4.682
1,215

of road operated

-5.897
133




3,647
1,786
133

^ HQ.284

-**r

132,046

111,936

J'

98,612

[§7,780

247

"i62,537
<

247

149,508

26

Ohio System-

Caro CUnchfieid A Ohio
Ry of So Carolina
Month of June
—July
—July 1 to June 30—
1913.
19-12.
1912-13.
1911-12.
8,619
7.346
; 119,213
132,588
1,218
1.291

18.873

2.181,642
! 158.555
255,447
71,186

425,403

10,053
772
83
1,672
2,853

,8,931
1,225
91
1,009
2,454

1,001,848

82; 917
434,607

86 974

97i780
Qr .4,750-

14,647

2,480,396
171.153
259,662

18.901
7,937
33,085

'

1911-12
1,984.776

2,244.831
183;,223

184.755
18,215

■WiM'
28,057
7,050
38,708

[,682

Out?1#® operations, pet

1912-13.

il|?520
13,771

30A9a ^

58,644

Month

■

$

8,588

25,009

*:<

•

2.905
356

&

36,108
7,937
6,141

6

2,325

,2,905

8,266

...

Mile

29,758
32,498

250

X26$

Tot.", Incl. other rev.
Expenses—Maint .way
Malnt. of equipm't.

Final net

153,850

2,923

9,528

>

a

8,415

127

1913.
186,959

-

;

128

9,258

1912."

1911-12.

a <•
142,323

8,743
519.897

207,384

0/

-

140,302
21,405
16,700
1,481
36,558

207,384
25,763

1913.

17,544
1,000

16,544

1912-13.

$

15,286
1,729
1,396

255,765

89

'

'

■

16,030
1,694
1,063

255,765

.<->

-

$ r1

1,152,878
162,568
218,991

Carolina & Northwestern

Net from railroad....

1912.

16,i /1
3,125

>

!

6,178

-Month

117,159
"42,732
25,879

of June—i—-July 1 to June 30—

744

$

39,136

Traffic expenses

23,745

14,880

$

6,178
2,000

Miles of toad operated

-

■Month
1913.

S
13,195
2,014

41,136

...

1,259

-

Cambria & Indiana

41,136
2,000

Taxes

124,176
43,780

343

July 1 ;to June 30—
1912-13.
1911-12.

■

1912.

11,453
2,791

284,398

18,000

3D)

7,008
6,588
1,901

Butte. County

Qutsldeoperations, net
.

7,889

[,329

307,971

977,632
104,149

107,557
.

284,741
17,000

2,874,147

1,079,014
133,438

s

:■ •-

10,500

50

3,057,990

•

810

99,614

■9,947

-Month
1913.

1911-12.

-

26,654

-6,458

$

A

119,356

,

231

—146,819

84,129

1912-13.

$
10,429

32,122

-170,201

88,052

:

105,919

893,219
148;,042
158,388

—8

1913.'

1912.

$
6.527
805

744,948
111,766

325.971

July 1 to June 30—
1912-13.
1911-12.

of June-1— —July 1 to June 30—

1913.

6,692

8

of June
1912:

-Month

:

11,337

3,078.130

-Month

$

608,821

3,078.147
204,000

91

265

746,404

3,281,354
—7,364

91

23,936

252

Butler County

6,464,228

3,273,990
216,000

Miles of road operated

41,850

2,205

94

'

284,202

2

-8,447
1,500

~

485,820

26,136

2,468

19.300

Final net

2,200

26,136
2,200

12,410

-4,858
1,600

Taxes

44,050

272,356

—121

-8T542

310,202
26,000

>

120,108
2,137,299

-4,736

-150,901

511,820
26,000

44.050

•u.

1,072,384
174,546
202,933
12,421
335,558

-129,547
—471

—65

Total net revenue..

102,279

42.798

$

-130,019
16,800

Qutsldeoperations, net

109,073

51,798
9,000

—Month of July——
1912
1913.

9,542,367
1,195,262
1,807,076

128,415
28,401
23,136
1,375
43,249

>: 310,202

■i

$

—■

511,820

<

.

8,174,728
1,058,260

1,127,612

58,803

9,869
27,421

16,699

600

...

■'

19,685

:

24,999
8,400

—

9,41*1,878

11,950

643,841
140,367
341,956
5,632
274,574

51,798

■July 1 to June 30*
1912-13.
1911-12.

1912.
$ 35,828

$

41,051

24,999

Buffalo Rochester # Pittsburgh

of July——

1913.

—654
—654

.

%

115,094
9,063

153,124
28,887
22,428
1,266
50,229

~

Buffalo & Susquehanna Railway
Month

S

139,765
9,390

.

109

—July l to June 30-*
E1912-13.
1911-12.
$
502,559
462,027
110,984
107,743

3,155

Month
1913.

*5,625

212,922

27,515

2,312

Brinson

of June—=r, ~r-July 1 to June 30—

217

-

3,155

35,679
1,638

...

Total net revenue..
Taxes..
- - »,» «, +„» «

5.680

2,312

.

26,824
2,195

71,335

Tot., lncl> general

.

47,074
1,804

263,301

Transportation exp.

4t*334

173,331
28,192

5,109

Freight revenue
Passenger revenue

5,182
"

.

467,279
28,490

21,485
3,268

EARNINGS

779
52

410,003
9,830

5,880

Final net

2,061

17,693

18,938
1,881

Total net Revenue.

"6^410

8,'836
2,214

948
46
2,036

628,219

Maint. of equipm't.

Tot:, incl. other rev

irom

7,494
1,595

.

5,469
2,811

610,526

Expenses—Maint .way

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.
Traffic expenses
Transportation exp.

•

2,748

58,409
1,574

1,439

--

EARNINGS

4,355

56,834

$ •:
18,536
1,132

Freight revenue
Passenger revenue

•

36,588

—423

1913.f
•

1

26,779i

75,191
27.351

58,409

26

Freight revenue.—--

Net

29,454

71,696

272,074

Month

Traffic expenses

110,744
26,500

361

107,057
28,138
8,651
343

504,464

Boyne City Gaylord & Alpena

*

28,649

5,292
2,989
11,419

14,880

Miles of road operated

Freight revenue. _ .
Passenger revenue

1,453

16,285

,

Final net

42,901

19,027
2,742

Final net

:

70,001
1,207

147,845

Month of July*—
1912.

1913,

191^-12,

31,183

—83

Taxes

Traffic expenses

$

111,765
136,826
8,337
218,090

'

Outside operations, net

*

d'uZy l to Junei. 361912-13.-'

1912.

118,790
16,439

11.4Q1

60

Bloomsburg & Sullivan

19,110

Net from railroad..._

10,959
2,836
1,273

21

1/.

Month of July

403,777

1.411
"

39,042

Tot„ incl. general

.

V 21

$

602,078 ^1,276,628
56,655
157,620
55.833
159,004
2,462
5,679
140,927
421,998

12,814
2,826

17.492

463

1913.

%

•

657,635
22,169

49,236

28.284

118,412

Maint. of equipm't.
Traffie expenses —
Transportation exp.

Passenger revenue

139,230
36.344
19,475

Birmingham Southern

of June— —July 1 to June 30—

$.

Freight revenue
Passenger revenue

237,453
14,159
30,818

*

3,440

Bingham & Garfield
Month
1913

258,599
21,716
34,726
528
98,631

7.215

5,144

v

-

110.671

1,049:

13,845

140,160
"
9,212
1,070
11,761

32,365

31,522

65,020,

..58,876,

3C

l", 179/9^

2,838

3,786

1.426.787
.

17,284

154,238
1

1,179.793

99,671

81,242

2,838
1.807

Cr.105

89,2177,307

1,327,115

1,098,550

i.°^

3,892
17

81,910

-

it!

10

3,786

-81,284
'

-

6,394

75.1

RAILWAY EARNINGS

Sept., 1913.]

Central
EARNINGS
»v:

.u

m

-Month

1

t

Central of. Georgia
of June
—July 1 to June 30—

512,496

1912.'
547,727

299,292

324,656

8,803,117
3,828,198

896,420
120,378
194,777
35,603
381,190

966,320
242,966
37,886
39,122
381,314

13,854,872
2,020,950
2,577,254
421,029
4,837,723

1913.

Freight revenue.
Passenger revenue
Tot., incl. other rev.
•Expenses—Maint .way
Maint. of equipm't-

Traffic expenses

Transportation

exp.

Tot., incl. general
Net from railroad
Outside operations, net
Total net
Taxes

revenue....

Final net
;
Miles of road operated

1913.
3,504
2,134

13,932,153
1,843,880
2,351,624

6.378
2,806

415,828

467
232

4,845,230

Freight

232

2,850

2,736

3,074

42,737

43.463

96,014

98,026

8.081

16,564
3,454
3,508

20,144
6,046
3,171

6,974

685

536

111,854

7,587

8,071

254,381

67,152
1,465

7,799
10,756

348,992
72,893
42,113

16,842

19,459

94,661

—277

249,431

77911

1913.
6,938
8,487

112,383

3,745
Cr .436
'

•

15,004

741,426

10,324,964

9,923,262

7,179

7,188

3,529.907

4,008,891
68,589

-801

-1,956

135,970
44,927

231,283
62,246'

3,603,391

4,077,480
625,503

-801

506

657

5,636

8.081
6,376

3,451.977

-1,307

-2,514

2,275

1,704

90

"

90

91,042
1,924

,036

161;,923

73,483

598,537

3,004,853

of June—— —July 1 to June 30—
1912-13,

1912..

1911-12.

$

16,167

Expenses—Maint.way

2,801

Terminal

2,784

58,617
14,862
r

97,395
18,315

.

43,754

.

6,534
1,063

6,127
3,825

614

853

120,087
25,972

104,905
11,480
9,703

35,823
14,248

42,737
18,414
5.739

18,701

37341

27796

50,022

*61",870

6,058

8,504

86,984

115.804

406,205

Net from railroad....
Outside operations, net

6.996

40,573

476

—2,376
—17,278

17,920
3,960

5,183

•14,673

-3,665

Total net
Taxes

6,996

40,573

—19,655
1,400

21,880
18,300

5,668
16.800

-21,055

3,580

—11,131

13,479

907

277

1,666

-3,189
2,900

6,718

Miles of road operated

38,907

-6,089

1912-13
$

revenue

718

644

17,149

13,469

41,149

40,074

72,555

—5,325

2,663

—14,673
24,482

72,555
18,288

-5,325
1,774

2,663
1,243

-39,156

54,266

-7,099

1,419
104

;

352,392

»

484

104

Chattahoochee Valley

Freight

7,414

35

July 1 to June 3(>—
EARNINGS

19|2.

$

424,947
132,675
47,758
5,819
143,839

58.702

Final net

Morith of July
1913.

S

24,182
3,476

3,374

revenue..

103

28,125
4,805

9,170

147

-715

225,286
34,610

Tot., incl. general

739

—1,527

July 1 to June 30—
1912-13
1911-12.

Transportation eacp.

Maint. of equipm't.
Traffic expenses

1,409

279,812
52,783

18,428
7.323

~

684

1,250

79,080

391,532
142,436
85.400
12,537
142,063

•

—277
"

Charlotte Hajrbor & Northern

-Month, of Juno-*- —July 1 to June 30—
1913.
1912.
1912-13.
1911-12.
$
$
$
$

99,275

...

rk

103/

Charleston

11,769

rev.

7/9Tl

■1,956

.1

85,316

2,616

Tot., Incl. other

1911-12.
209,077
116,397

182,497
105,408
306,583
67,088
41,966
6,901

224,893
6,389

$
13.205

revenue

106,107
30,124

5^32

1912-13.

35,286

128,751
7,218

1913.

revenue

1911-12.
62,479

103,926
32,440
12,306

2,341
2,571

767,669
;

Month

Passenger

1912-13.
63,683
31,809

1912.

3.180

Central W Va & Southern RR Co
EARNINGS

Georgia System-—

\WadIey Southern
,
. ■
Wrights ville & Tennille
of June
-July 1 to June 30— —July 1 to June 30—•
Month <

Month

1911-12.
8,887,838
3,777,488

1912-13.

of

17

1911-12.
$ -

Chesapeake & Ohio Lines

-Month of July
1912.
1913.
8
55
4,136
4,104
1,429
1,558

July 1 to June 301912-13.
1911-12.

-Month of July1913.
1912.

$

5

27,549,696
5,858,138

27,261,474
5.505,536

2,174,700
550,996

2,123,846
542,168

2,861,883
532,793
53,455
945,158

2,801,974
408,692
577,569
55,169
832,024

5

3

83,130
16,974

84,401
18,235
105,041
17,180
4.482
1,446
27,152

5,780
1,133

5,800
1,772

250

345

exp.

102,081
20,424
5,316
1,397
25,818

2,397

1,549

35,085,278 34.289,869
4,342,744
3,981,645
7,275,439
0,724,459
669,016
636,966
11,380,998 10,503,415

Tot., incl. general

59,832

57,140

4,265

4,174

24,451,560

22.635,681

1,977,197

1,937,139

Net from railroad....

"427249

47,901

1,515

1,625

10,633,718
46,079

11,654.188
5,061

884,685
—9,283

864,834
—1,603

Total net revenue..
Taxes

42,249
2,738

47,901
2,378

1,515

1,625

200

200

10,679,797
1,375,862

11,659.250
1,014,219

875,402
109,960

863,230
102,156

Final net
Miles of road operated

39.510

45,523

1,315

1,425

9,303,934 10,645.030

765,442

32

32

761,075
2.298

Passenger

revenue

Tot., incl. other

...

rev.

Expenses—Maint.way
'

.Maint. of equipm't.
Traffic expenses

Transportation

...

Outside operations, net

......

119

127

—July 1 to June 30
1912-13.
1911-12.

EARNINGS

Month of July——
:
1912.
$

'

1,230.610
152,328
227,259
41,062
402,169

12,715
3,251

7,143

3,136

1,921

153

150

3,406

975,313

855,138

11,635

3.650,521
—34,771

352,955
—2.790
350,165
39,000

374,416
38,000

1.079

311,165
1,032

336.416
1,025

14,535,722
1,894,535
2,691,131
477,994
5,428,690

1,328.269
172,054
248.646
38,503
481.133

12,840,071

10.885,200

2,414,792
—34,418
2,380,374
486,760

1,893,613

3,154,093

Transportation

Net from railroad

Outside operations, net
Total net revenue..

Taxes
Final net

Miles of road operated

.

July 1 to June 30—
1912-13.
1911-12.

,

$

Freight revenue
Passenger revenue

375,472

Month of

32

106,532
9,988
23.424
1,869

116,437
9,556
52,886
1,181
31.354

20,981

30.931

169,740
16,540
66,907
■*
1,811
41,732

15,109

2,281

135,057
35,729
27,497
2,170
36,415

4,090

4,021

121,554

78,977

144,647

111,819

9,974

-12,010

"5035

8/971

572

1,079

13,503

27.555

25,092

,4.618

27.555
9,022

25,092
11,400

■4,618
11,400

—605

5,394

18,532

13,692

—6,782

4,185

25

1911-12.

610,108
247,847

7,295,922
1,095,978
1,216,084
147,418
2,350,016

70,598
23,827
12,648
1,239
35,746

68,479
36,612
9,936
1,794
28,956

966,646
256,724
182,416
16,032
408,073

923,360
305,227
148.370
17,915
397,337

60,646,949

5,145,187

4,999,787

75,942

79,659

890,259

895,708

31,531,594 26,076,118
—127,691
—122,700

2,609,371
—18,200

2,296,134
—16,906

-5,344

-11,179

76,386

27,652

2,591,170

-5,344
3,000

-11,179
3,000

76,386

33,176

27,652
33,201'

-8,344

-14,179

43,210

-5,548

262

262

-3,596

-86

7,954
86,056

-17,828
9,238

-3.596
19,821

■*-86

31,4037903 25,953,418

-78,101

-27,066

-23,418

-973

886

Miles of road operated

16

3

Freight revenue
Passenger revenue

3,303,058

304,274

2,279,228
•274.846

27,840,544 22,650,360

2,286,895
9,128

2,004,381
9,074

3,563,358

Month

1912.

$

*

Chicago Indianapolis & Louisville

;—Month of July1913.

62,842,891

16

Chicago Great Western
-July 1 to June 30
1912-13.
1911-12.

EARNINGS

1912.

7,754,358
1,114,004
1,421,567
131,397
2,387,445

—17,828

'

of June

1913.
I

$

& Kansas City
June 30—
1912-13.
1911-12.

June— —July 1 to
630,540
268,534

7,954

...

of

21,333

7,635

Final net

■Month
1913;

41,386

12,962

Taxes

Quincy Omaha

,

Month of July—■—
1913.
1912. !

46,519
20,388

7,029

Outsideoperations, net

13

4,545,501
2,037,985

14,359

198

.

4,955,629
2,126,229

166,206

_

13

Quincy System—

94,374,485 86,723.067
12,535,862 12,541,030
16,133,215 14,294,032
1,586,802
1,528,114
29,997,717 29,020,384

136,454

ISO

8,021

64,063,856 57,740,418
21,895,690 21,083,418

exp.

804

3,994

8,971
95Qy

950

25

Tot., incl. general

12,875

142

5,135

600

13,503
8,109

1912-13.

8*936

1,320
5,134

103

811

Chicago Burlington & Quincy

*

412

811
1,417

/

—July 1 to June 30

1912.

*

20,889

,

4,044

479

July*

1913.

$

9

7*154

Total net revenue.

$

276

.

Chicago Burlington &

"

Net from railroad.

%•/'
14,902

113,989

346

10,762
1,591
5,282

Transportation

—Month of July
1913.•
1912.

167,710

148,377
12,499
33,629
2,418
113,129

Traffic expenses

$

17,201

107,608

Expenses—Maint. way
Maint. of equipm't.

July 1 to June 30—
1911-12.

1912-13.

J.

82,481

144,409
11,460
26,434
2,315
92.403

rev.

.

105,083
26.042

102,719

Tot., incl. other

T

6,331

Chicago & Western Indiana
EARNINGS

j

Chicago & Illinois Western

—1.055

3,615,750
461,656

exp.

15,254,864
2,559.079
3,379,144
639,087
5,968,794

Maint. df equipm't.
Traffic expenses

$

1,622

751,863
383,131

Expenses—Maint. way

:

5,327

842.898
398.804

rev.

$

July 1 to June 30—
1912-13,

1912.

9.365

9,311,818
4,104,740

Tot., incl. other

of June

2.644

9,908,251
4,218,552

Tot., Incl. general

>

Month

1913.
$

1913.
S

Freight revenue
Passenger revenue

2.340

Chicago & Illinois Midland Ry Co

Chicago & Alton

375,796

—July 1 to June 30—

1912.
$

1912-13.
$

1911-12.
$

4,682,584
1,648,883

Chicago Junction
-Month

of June*— —July 1 to June 30—

4,257,161
1.646,209

1913.
,

1912.

5

1912-13.

5

.

5

1911-12.
5

9.795.074
3.144.283

8.879,747
2,891.153

803,713
302,347

703,107
277,219

371,960
138,270

345,422
140,687

12.795.242
1,491,289
1.960,039
560.842
5,583,133

1,195,929

1,069,275
113.976

195,652
43,662
413,102

158,108
43,4.33
443,791

562,638
94,399
85.902
18,426
223,549

535,986
76,193
73,290
17.519
234,919

6.985,944
1.469.198
982.051
216,674
2.656,417

6,503,652
904,878
953,341
210,466

173,610

186,027

exp,

14.000,618
1,688.800
2,067.288
565,648
5,524,433

Z529.722

84,796

1,057
91,123

204,839
122,760
13,278
975.418

Tot.!, incl. general

10,261,142

10,006,233

874,827

793,145

440,231:

419,880

5,103,936

4,775,212

107,843

116,204

1,360,283

1,269,415

3,740,476 "2/789,008

321,102

276.129

122, £07

116,106

1,882,007

1.728,440

65,767

41,201

643,630

556,706:

116,106
22,880

1,882,007
294,039

1,728,440
278,144

65,767
2,534

41.201
2.130

643.,630

556,706

22,212

28,705

93.226
1,587,968
1,450,296
616 (See this road on p. 32)

63,232

39,071

621,417

527,800

11

11

Tot., incl. other

rev.

Expenses—Maint.way
t

Maint. of equipm't.
Traffic expenses

Transportation

Net from railroad....

Outsideoperations, net

2,293

—1,754

892

3,742,769
439,418

2,787.254
406,724

321,994
38,651

275.223
35,181

122,407
28,578

2,380,529
(See this road on p. 36)

283 343

240,041
1,496

93,828

157,406
19,438
1,037

15,884
2,671
919

2,003,912

—906

Total net revenue..

.

Taxes

w

4-*-*+—

Final net
Miles of road operated

3.303,350

1,496

616

& St Louis RR

Chicago Milwaukee & Gary
—*Mon(h- of\ June

EARNINGS

-July 1 to June 30— —Jan. 1 to June 30

1913;.
S

Freight revenue.
Passenger reyenue

19123*

1912-13v

1911-12.

$

.

32,847

6

269

162

544

33.981

33,757

19,739
7.472
1,392

10.350

465,131
96,751

5,574
1,561

91,898
17,989

456,222
•

Tot.! incl. other rev.
Expenses—M aint. way
Maint. of equipm't.
Traffic expenses

1912-

3

33.573
---

1913.

Month

581,229
141,632

629,474
142,793

395,274
81.422
80,638
18,304

767,377
118.429
158,160

817,342
124,702

41,411

133,633
22,104
28,770
6,635
58,606

388.306
*

170,685

<

144,088
21,040

36.J60
7,287
64,063

358,493
28.981
27,921
439

276
93,940

exp.

20,047

11,388

195,419

181.081

388,111

50,215

30,561

421,851

379.953

741,949

780,875

121,018

133,888

240,660

Net from railroad._Tr
Outside operations, net

-16,233

3,196

43,273

13.320

36/?6?

12.614

10i,200

117,833

Total net revenue.!

-16,233

2.549

3,196
2,630

43,279
25,549

15.320
24,630

25,428
26,605

36,467
24,704

12,614
4,800

10,200
4,300

'18,783

566

17,730

—9,309

—1.176

-11J62

7,814

Taxes
Final net

Miles of

....

road, operated

128




•

128

255

5

5

-196,641

Tot., incl. general

r -

Month of July
1913.
'
'
1912.

103,060
32,760

44,021
406.877

TrAnsportat£oij

130,435
14,502
892,013

Chicago River & Indiana RR Co
—July 1 to June 30
1912-13.
1911-12.
5
5

1913.-'
S *
93,506
32,640

1,826,122
191,143

-

5,900
255

,»

11,240

J64.694
'

139,998

m

-56,643

10,870.

10,223

20,256

14.607

M50/

56,643
2,600

113,083

2

31.490

54.043

fn7,412

7,800

2$

♦;:7S11

I

RAILWAY EARNINGS

18

Freight revenue.,....
Passenger revenue

Chicago Terre Haute & So'east

Line

Chicago Short
-Month
1913.
$

EARNINGS

of June— —July 1 to June 30—
' 1912.
1912-13.
1911-12.

Month
1913.

of June—
1912$

$

1911-12.

1,579,586
204,144

'

$

2,805

39,592

18,767

122,578
16,270

108,513
16,157

1.671,112
210,816

12,498

4,194

198,623
9,020
28.503

142,830
24,139
20,285
3,290
55.898

127,873
33,023
15,733
3,267
44,488

1,929,551
332.289
402,569
37,307
634,029

...

.

64

80

Transportation exp.

6,917

5,301

963
85,920

108,754
8.326
19,397
1,008
44,942

Tot., incl. general

11.270

8,674

136,358

81,831

112,904

104,495

1,501,630

Net from railroad, i...
Outside operations, net

3,077

"3^824

62.265

26,222

29,925

23,377
—302

427,921
—2,834

425.087
120,000

530,345

14,374
351

305,087

425,945

Maint. of equipm't.
Traffic expenses

•

14.347
1,009
2,209

—

755

•

1,786

—193

214

62.265
1,937

2,986

Total net revenue..

Taxes

26,222
2,187

3,609

60.328

24,034

11

11

3,077

3.824
(

90

—

Final net
Miles of road operated

-Month
1913.
$

& Portsm'th

July 1 to June 30—
1911-12.
1912-13.

June—

of

1912.

$

$

Tot., incl. other rev.

16,082
11,946
1,669

16,101

113

411

—8,851 ~

134

80,594

9,612

11.227

80,594 "
4,080

9,612

11,22?

198

497

76,513

.9,413

10,730

10

10

117,133 ~
117,133 "
2,829

104,400

-Cin New Orl & Tex

Taxes

~

qq

Pof»ifin

Rtrofnm-

MW

*

UJ0PVUJ

WVUAV

■

|

Cincinnati New Orleans & Texas Pacific
Harriman & Northeastern
'
-Month of June1
July 1 to June 30— —Month of June-—» —July 1 to June 30—
1913.
1912.
1912-13
1911-12.
1913.
1912.
1912-13.
1911-12.
636.711
635,208
8,078,157
7,503,580
8,802
8.960
103.754
108,119
155,807
518
676
139,856
1,848,422
1,746,678
5,299
5.546

1

"2",418

555,848v

7.036,482

6,483,908

3,702

10,196

202,238

264,047

3,272,356
—6,493

6,088

—866

3,408,686
—7,877

26.996

9,791

64.318
5,820

66,908
5,400

|

19,703

4,620

173,114

231,381

3,055.209

2,994,263

5,533

4,191

48,498

51,508

1

32)

19

19

337

of

337 (See this road

on

p.

Colorado & Southeastern
—Month
1913.

—July 1 to June 30—
■July
t
1911-12.
1912-13.

June

1912.

$

9,548

5,973

114,688

108,007

J

9,562
587

5,985

115,040
11,212

108,203

I

10,386
9,029
2,643

1

30,703

|

21,880
16,634

41,374
19,045

252,010
128,801

Total net revenue-

38,515
3,500

60,420
3,500

380,812

35,015

56,920

197

197

'

217

910
503
207

2,586

1,884

12,377
2,723
32,778

5,408

4,348

70,379

66,140

288,418
—1,907

4,153

1,636

44,661

42.062

286,510
42,000

4,153
1,750

1,636

42,000

135

44,661
4,955

42,062
1.620

338,812 •

244,510

2,402

1,501

39,705

40,442

20

20

.

152,350
193,975
14,473
244,117

1,155

>

Colorado Midland

Colorado & Wyoming
July 1 to June 30—
1911-12.
$

$

378.473
35,442

-Month

of June—

',727

3i,968
876,945
95,643
139,731

1913.

1912.

$

1912-13.

,

$

•

'

.

$

-

$

$

94,556
27,173

94,493
28,415

1,401,427
262.762

1,401,302

133,272
27,282
18,240
8,666
64,302

1,828,335
270,462

1,830,165
248,665

409,895
92,095

338,801

9

*

9

38.321
4,676

267,142

30.970
4,859

456,752
58.639

387,000
53,542

55,011
5,732
6,554

42,195
3,406
9.633

595,323
97,210
81,076
2,036
170,431

514.034
91,020
81.125
2,049
141,990

—

73

Transportation exp

23,418

23,422

279,337

127,694
31,710
31,916
9,196
58,329

817,026

88,760
813,720

12,462

11,808

42,175

45,603

542,485

546,005

137,070

124,332

1,657,828

1,554,965

25,916

26.727

364,154

330,302

37,760

29,937

376,063

330,940

-97375

170,506
1,432

275,200
—7,103

29,095

15,467

231,169

183,732

—584

8,940
—935

-9,960
1,877

8,004
3,820

166,073
95,477

268,096
89,420

29,095
4,756

15.467
3,261

231,169
47,943

183,732
33,995

-11,838
337

4,184
337

70,595

178,676

24.338

12,205

183,226

149,736

Maint. of

equipm't

Traffic expenses

Tot., Incl. general
Net from railroad—.
Outside operations, net

79,935
8.335
8,298

75,541
11,129
7,252
*120

940

Total net revenueTaxes
—

37,760
6,359

29,937
5,501

376,063
33,791

330,940

Final net
Miles of road operated

31,400

24,435

342,272

304,137

54

54

———-

26,803

$

of June—

1913.

1912.
$

$

—July 1 to June 30—
1912-13.
1911-12.

Transportation exp.
Tot., incl. general
Net from railroad
Outside operations, net

749

10,664

90,104

10,664
5.659

90,104
17,298

81,035
17,785

6,429
-5,682

5,005

3

3

Miles of road operated

72,806

$

563,552
129,161

544,275
126,887

195,138
24,159

160,513
22,054

10,838
4,176

14,731
3,584

66,821
6.922
7,178
1,510
19.563

768,640
105,538
102,073
19,156

724.560
113,043
72,793
19,434
237,492

240,850
21,558
22,719
1,126
48,312

196,750
16,226
22,877

17,637
2,186
2,406

19.737
2,421
1,767

37,563

493,411

471,617

105,165

94.707

9,234

9,036

29,258

275,228

252.943

135,6§4

102,042

~O02

10,700

23,472
2,955

29,258
3.071

275.228
52,958

252,943
54,269

135.684
6,597

102.042
7,070

8.402
600

600

94,972

7.802

10,100

63,250

12

12

20,516

239,108

2$, 186

222,270

•Month of July
1913.
1912.

%

'

$

73,113
43,089

77,280
44,412

5,689
4,885

5,784
3,980

119,807
25,625
.2,789

124,530
26,336
2,282

10,647
1,880

9,912
2,854

198

35

126

107

3.539

3,847

"3",354

6,830

6,644

44,615

49,071

3,817

Total net revenueTaxes

44,615
2,400

49,071
2,400

3,817

Final net
Miles of road operated

42,215

46,671

.

Midland Terminal
of June—— —July 1 to June 30—
1912-13.
1911-12.
1912.
108,413
52,876
3,942
2,748
48,327
41,244
3,570
3,968

-Month
1913.

956,392
91,589
88.573
,16,556
295,600

7,276
2,192

8.099
2,936

629
70

475
Cr66

1,988

1,851

23.700

162,869
22,471
15,304
3,505
62,002

61,503

3,268

Net from railroad——

-

Central

1,228,940
119,674
116,249
21,759
357,656
662,559

532,733

5,075

5,453

62.073

110,661

566,381

423,659

2,200

2,645

39,669

52,208

108,029
14,422

62,202

75,192

_

10,700

t46,526

"¥,138

.39,512*

Tot., incl. general

Cree k

Florence & Cripple Cree
-Month of June
—July
June
—July 1 to June 30—
1912-13.
19131
1912.
1911-12.
85,368 .1,001,641
773,190
85,506
20,006
202,126
162,465
18,220
_

$

129,086

198,673

e

38,665

Transportation exp.

872

43,505

135

75,458

Maint. of equipm't.
Traffic expenses —

Jul^: -

48,533
10,927

105,793
17,331
11,991
2,210
27,522

Tot., incl. other rev.

Expenses—Maint.way

-Month Of
1913.
S

44,998
10,978

137

—July 1 to June 30
1911-12;
11912-13.

—

9

S

$

Coudersport & Port Allegheny

Freight revenue
Passenger revenue

Cornwall

July 1 to June 30
1911-12.
1912-13.

81,035

749

revenue-

i

55

55

23,472

Maint. of equipm'tTraffic expenses ...

earnings

"

"

40,612

Expenses—-Maint .way

Final net 1—

-Month

149

64,084
10.510
8,390
1,469
18,305

...

Tot., incl. other rev.

Total net
Taxes

188

Copper Range

of June— —July 1 to June 30—
1912.
1912-13.
1911-12.
•
$
$
■/
9

Freight revenue.:
Passenger revenue

•

1

Connecting Terminal
-Month
1913.

EARNINGS

10,764
1,148
31,167

*
*

101,742
26.164
8,109
771

Outsideoperations, net
—

—

—

200

43,591
1,932

46,526
3,891

566.381
40,513

423,959
34,360

2,200

200

247

2,645
1,629

39,669
12,463

52,208
13,492

3'6H
39

3,068

41,658

42,634

525,868

389,298

1,953

1,016

27,205

38,715

118

129

3,268

39

Cumberland & Pennsylvania

Freight revenue—
Passenger revenue

...

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.
Traffic expenses

Transportation exp.

of June— —July 1 to June 30—

1913.

I

9

29

866,639
36.438

866,882
39.366

68.587
2,865

930,083
78,587
275,157
2,345
266,612

73,723
7,559
22,308

64,582
8,601
19,174

261

19,878

—July 1 to June 30— ——Month Of
1912-13.
S

1911-12.
9

1913.

JuljT^
%,777

49.781
70,433

247

22,014

1911-12.
s

59,443
2,932

927.927
78,228
273,198
3,334
265,176

1912-13.
«

1912.
1

29

Dayton & Union

Davenport Rock Island & Northw

Month of July-— —Month
1912.
1913.
9
9
s

—July 1 to June 30—
1911-12.
1912-13.

EARNINGS

10,398
4,504
1,322

4,929
1,601

"3.955

51,223

13,358

45,276
73,459

4,661
6,158

143,736
28.615
23,077
1,964
62,855

141,686
22,366
17,476
2,593
64,203

12,910
2,642
1,455

5,215

11,250
2,213
923
146
4,526
8.123

5,663

135,190
46.577
18.294

89,459
32,701
18,090

"2.246

70.971

52". 146

9,910

4,898

138,935

106,078

121,857

111,764

9,800

487

30

—3,744

—16.618

21,878

^ 29,921

3,110

3,126

30

—16,618
20.618

21,878
8,775

29,921
9,715

3,110

"$026

716

845

—37,236

13,103

20,205

2,393

2,280

47

47

896

Tot., incl. general

659,954

662,424

55,308

Net from railroad....
Outside operations, net

267,973

267,659
472.

18.414
—6

268.347
43,088

268.131
42,832

18.407
2,800

13,378
3.000

1,970

1,840

—3,744
22.020

Final net
Miles of road operated

225,259

225,298

15,607

10,378

—1,482

—1,809

—25,764

61

61

49

49

138

20

Total net revenue..
Taxes
—




374

«

"

487

'

1

Columbia & Puget Sound

—July 1 to June 30— —Month of June— —July 1 to June 30—
1912-13.
1911-12.
1913.
1912.
1912-13.
1911-12.

918.549
101.965
124,424
1,264
287,068

Tot., incl. other rev.
Expenses—Maint .way

I

923.033

Net from railroad
Outside operations, n et

.

July 1 to June 30—
1912-13.
1911-12.

1912.

690,846
197,138

716,791

634,615

—Month of June
1913.
1912.
$
$
'
32,698
30,247
2,990
2,467

of June

•

743,952

Freight revenue. .... J
Passpnger revenue...

|

4,641
450

47,761

EARNINGS

j

56,908

555

66,320

—

61,257

54,318

26,578

.

6,088

Tot., incl. general

Final net
Miles of road operated

59,987

4,641

~

25,538

5,361

3,265,863
271,600

Transportation exp.

—--—i

"2,293
"

345,600

995/963
187,480
215,508
13,653
297,158

Taxes

1

3,400,809

239,765,

...

19

263,181
31,800

89,136
11,946
10,555
1,006
22,018

Traffic expenses

12,566

52

202,114
29,000

63,792
21,480

Maint. of equipm't.

118,166
18,492

10,150

5,576

19,436

Expenses—Maint .way

114,305
19,777

2,545

10,196

88,200
14,564
20,211
1,437
27,281

...

Tot., Incl. other rev.

223

587

!

26,996
7,293

53

6*5,843

Freight revenue—

10,003

393

Coal & Coke

Passenger revenue

4

742

3,230

-330

—9,414
53

-Month
1913.

EARNINGS

.

.114,303

28,744

651

3,295

134
464

-t-8,851
662

Final net

17,516

633,129

144,651

Miles of road operated

12,782

17,253

177,685

6,710
15,967

Total net revenue..

112

12,414

193,614

9,756,265
1,006,493
2,165,570
246,442
2,835,007

10,039

Net from railroad.. —
Outside operations ,1 net

191

153,533
212,611

819,896 10,445,168
92,012
1,C67,058
187,173
2,429,957
21,038
281,570
234,591
3,030,545

24,934

...

'

......

26,865

835,368
130,832
204,349
25,819
248,242

Tot., Incl. general

Traffic expenses

3,357
4.252

1912.
9

1913.
9

274,208
5,934
35,535
1,257
137,948

187,881
55,792
28,127
1,739
80,963

171,648
42,221
18,455
1,369
73,447

Maint. of equipm't-

"

8,989
40,339
1,734

61,210
108,457

Transportation exp.

,

329,745

—124

3.568

10,016

Expenses—Maint .way

1,827,360
269,944
309,254
35,926
590,556

0

43,559
103,071

3,150
9,776

—

Passenger revenue -i.

Freight revenue

10,000

19,732
351

Cincinnati Georget'n
EARNINGS

,29,732
f

Month of July—

30

1911-12.
»
.......

532,285
—1,939

23,074
8,700

1912-13.
9
'

1,295,075

Tot., incl. other rev.

Expenses—Maint .way

XOTII.

Chicago West Pullman & South'n

to June 30— —July 1 to June

1912.

$

$

$

$

[Vol..

e

Delaware & H Udson

—

-Month

■

of June
1912.

1913

1,967,272 20,104,347
249,455
3,091,852

1,643,808

Freight revenue
Passenger revenue

-July 1 to
July
1912-13.

Delaware & Northern

SystemGreenwich & Johnsonville

Delaware & Hudson

'

EARNINGS

June 30—
_

1911-12.

■Month

1912.

1913.

a

7,340

8,419

17,578,005

787

882

2,275,294 23,999,532 21,242,929
166,537
1,864,866
1,661,762
243,906
3,590,932
2,978,844
31,116
281,696 I
272,000
8,212,929
7,478,105
639,302

10,319
2,467

Transportation exp.

141,446
303,268
27,125
660,974

1,131,800 14,656,690 12,966.950
9,342,842

3,607

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.
Traffic expenses

1,953,503

—

173

July 1 to June 30—

1912.

*

9
5,882
2,942

8,411
2,551
11,421
3,378
1,814

1911-12.
9

7^,701
■

31,827

9,333.
1,508
1,135

116,209
25,209

40

33

531

513

144

200

2,608

2,830

30,584

29,434

3,243

3,829

18,640
2,024
45,034

5,552

5,074

63,907

62,066

9,476

7,441

100,779

4,766

3,607

68,984

51,945

1,944

1,891

15,429

68,984
1,548

51,945
4,165

1,944

1,891

15,429
7,266

67,345'

47,779

1,278

1,891

8,162

45

45

'

Tot., incl. general

1,199,108

Net from railroad...
Outside operations, net

754,395
—3,429

1,143,494
35,927

—72,593

31,774

Total net
Taxes

revenue..

750,965
49,700

1,179,421
48,723

9,270,248
602,712

8,307,753
594,322

4,766
206

336

Final net
Miles of road operated

701,265

1,130,697

8,667,536

7,713,431

4,560

3,270

3t.)

21

21

853

8,275,978

853 (See this road

on p.

-Delaware Lackawanna & Western

1913.

25,553,999
25,553,999
7.571,786

7,727
5,176

3,251,839 40,518,044 35,492,527
5,043,137
4,392,036
459,185
6.145,292
472,948
6,020,915
837,899
815,322
84,033
875,952 12,458,432 10,995,397

15,996
6.2282,039
396

Transportation exp.

3,392,183
526,670
494,940
88,716
1,032,988

7,364

Tot., incl. general

2,212,816

1,954,871 25,283,231

16,352

Traffic expenses

—

Net from railroad

Outside operations, net
Total net
Taxes

revenue.

.

-

Final net
Miles of road operated

22,994,061

6,079
'

r

5,649

62,501
64,405

—Month of July
1913.
1912.

1911-12.

$

1911-12.

1912-13.
92,640
63,439

1912.

2,351,315 29,618,438
~
672,674
8,167,527

...

Delray Connecting
-July 1 to June 30—
1912-13.

July 1 to June 30—

of June

2,397,986
750,806

Tot., incl. other rev.
Expenses—Maint. way
Maint. of equipm't.

666

Sussex
Month

__

Freight revenue..
Passenger revenue

■

System

Delaware Lackawanna & Western
Includes Syr. Bing.&N.Y. since Oct. 1 1912.
Month of June
July 1 to June 30—

EARNINGS

$

$

------

------

151,263

162,466
50,952
11,540
3,344

6,673

193,723
46,618
27,433
3,550
86,129

82.534

86,358

60", 008

7~»558

5,756

14,084

168.429

152,525

168,276

120,381

18,251

12,286

14,965
4,417
2,296
363

131,344
38,657
15,825

57,374
16.938

12,780
6,614
3,376

11,612

4,923
1,091

"

1,179,366
26,601

1,296,968
27,795

15,234,812

12,498,465
451,264

=353

881

25,293

9,941

—17,013

10,962

—5.471

—673

582,375

1,205,967
165,000

1,324,763
168,940

15,817,188
1,748,340

12,949,729
2,014,640

—355

881

9,941

2,000

20,028

—17,013
4,160

10,962
4,114

—5,471

1,082

25,293
10,492

346

—673
342

1,040,967

1,155,823 14,068,848

10,935,089

-1,437

-1,118

14,801

-10,086

—21,174

6,847

—5,818

—1,016

30

30

2

2

958

958

.

■Month

of June—-

-July 1 to June 30—

—Month

1913.

1912.

1912-13.

1911-12.

9

$

9

9

3.716

1,758

1,721

1,197,590

5.774

4,624
1,067
1,402

32,605

1,156.952
201,077
205,246
28,906
392,146

77.506

888.324

26.882

268,628

26,977

296.390

104,388

Transportation exp.

108,712
20.947
18.532
5,294
29,701

Tot., incl. general

80,260

Net from railroad

28,451

Outside operations, net

$

of June

1913.

9

—July 1 to June 30—

1912.

9
69,119
25,695

1,397

808,790

1911-12.

1912-13.

1912.

854,147
290,945

73,387

Month

-July 1 to June 30—

of June

1913.

9

EARNINGS

Des Moines Union

Denver Laramie & Northwestern

Denver & Salt Lake

9

60,530
33,480
100,225
11.954
19,418
9,872
50,088

1912-13.

9

31,410
5,598

-

1911-12.

9

'TW

Freight revenue—
Passenger revenue

66,051
37,974

—

—

Tot., incl. other rev.
Expenses—Maint. way
Maint. of equipm't.
Traffic expenses

Total net
Taxes

...

196,330
32,021
433.972

512

607

3,728

4,028

100,148
13,057
17,069
7,776
52,595

15,531

14*231

183",529

168,370

901,986

7,857

8,180

125,321

101,082

22,841

21.692

270.892

231,806

295,610

=2^82

-37556

—25.172

33B

T568

9,573

102,434

135.445

295,610
41,220

—2,082

—3,556
627

—25.172
7,320

—856

610

7,598

8.568
4,407

254.390
214 (See this road Jon p. 32)

—2,692

—4,183

—32,492

—8,455

4,161

56

56

268,628

26.882

4,720

42,262

226.366

„

of June

Freight revenue—
Passenger revenue

July 1 to June 30—

1912.

1912-13.

1911-12.

S

1913.
I

S

%

67,906
27,283

75,800
26,544

818.459
339,835

842,320
330,960

100,951
13,977
15,055
2,042

109,669
15,765
20,053
2,756
36,101

1,242,326
166,414
174,768
26,969
443,602

1.248..101

...

—

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.
Traffic expenses

36,919

Transportation exp.

201,751
218,290
29,503
411,688

■

S

9
Rentals

94,592

1,349.363

1,172,824

125,511
11.556
7,712

94,978

1,176,396

1,247
31,858

1,353
27,189

1,354.558
145,378
76,064
14.738

44,359

100.917

102,593

""8,997

"8~, 477

170,729

166,069

15,235

12,565

50,619

714,903

634,119

1,114,758

1,153,263

92,991

79,429

714,903

634,119

92.991

4.9.856

1,114,758
61,507

1,153,263

66,754

584,263

1,053,250

1,098,311

50,619
4,056

242,858

46,562

—July 1 to June 301911-12.
9

9

14,506

1,673,286

699

947
24

2

Dry Fork

July 1 to June 30— —:—Month of July
■
1911-12.
1913.
1912.
9
%
9
$
1,391,374
108.525
1.475,930
99,969
151,769
160,194
14,905
14,966

23,712
4,338
663

138;417
12,166

223,826
32,886
2,422

74,929

'

"

—Month of December—
1912.

1,762,326
336.358
232,043
32,465
866,224

135,953
41,142
48,232
2,584

55,643

July 1 to Dec. 31—
1912.
1911.
$
9
111.398
90,637
14,371
14,728
,

$
16,715

15,630
1,957

2,063

17,980
3,742
1,663

125,371
20,994

78.709

1911.

$

.

------

—

Tot., incl. other rev.
Expenses—Maint.way
Maint. of equipm't.

79,429
4,500

2

648,148

6,000
86,991

54,951

78

1912-13.

1913.

$

-

Detroit Toledo & Ironton

Month of July——

1912-13.

9
Rentals.

542,276

70.621
5,945

32)

1912.

$
Rentals.

639,654

64,676
78

p.

1913.

13,757
337,269

344,663
101,804

on

Rentals

Month of July

■

375,047

392,336
103,518
288.818

9

91,994
1,293
2,774

26,312
8,595

418 (See this road

1911-12.

'

108,227
3,191
3,009

26,169
8,419

17.717

85,977

5

1,319.332
26,454
35,590

70.621

418

135,445
49,467

52.753

1,285,488
28,212
34,618

5,940

349,988
—5,325

17J50

49.681

108,976
57,925

7,570

395,630
—3,294

«.

Freight revenue
Passenger revenue

$

32,108
—5,795

Detroit Terminal

•

$

898,113

Final net'—
Miles of road operated

102,43-f

f

1912-13.

846,696

Total net revenue..

EARNINGS

1911-12.

;77,561

Taxes

9,573

Detroit River Tunnel Co.

1912-13.

29,276
—3,107

Net from railroad

367,252
35,303
12,166

.7,310

-July 1 to June 30— —July 1 to June 30—

1912.

$
125.090

373,327
48,936
11,528

2,263
.

5

of June

1913.

71,675

Outside operations, net

r

-Month

54,889

,Tot., incl. general

•

'

673

Detroit & Toledo Shore Line

Detroit & Mackinac
Month

31,266
5,339
1,212

-------

-

827

22.162

214

EARNINGS

-

1,157

28,451
3,762

Miles of road operated

'

183.161

20,247
14,101
2,866

24,689

revenue-.

Final net

19,123
2,228
1,138

107,520

3,713

128,409
16,235
7,219

—

75

exp.

101,239

51",749

10,944

'¥,929

422,046
469,200
31,723
859,466

"¥601

24.391

Tot., incl. general

138,466

64,629

16,164

5.901

1,846,830

11.576,654

176,365

101,036

10,637

10.379

67,550

67,905

Net from railroad....
Outside operations, net

"857359

73,787

7,547

8,605

-173,544

185,672

—40,412

24?334

7,343

8.744

39,969

61,403

—40,412
5,700

24,334
6,000

7,343

Traffic expenses
.

of June

S

114,011
21,384
9,468

132,891
24,258
7,226

8,682
1,875

'

253

-Month
1913.

■July 1 to June 30—
1911-12.
1912-13.
98,272
111,987
12,160
12,035

of June

2,979,234

250.937

—

19

EARNINGS

RAILWAY

Sept., 1913.]

Transportation

Total net

16.269
2.687

169
..

22,450
7,542
301

29". 732

—214

Final net

73,787
12,961

76,246

60,826

8,605

—173,544

185,457

700

68,869

65,244

6.547

7,905

-242,414

120,213

14

85,359
9,113

revenue..

Taxes

13

7,547
1,000

Miles of road operated

Duluth & Northern Minnesota
—Month

EARNINGS

-July 1 to June 30—
1912-13.
1911-12.

June

of

1913.

1912.

9

9

.

9

'

>

18,334

7.065

441

Winnipeg & Pacific
1912.

39,969
2,097

61.403

301
>

8,442

37,871

59,471

35

1912-13.

•July 1 to June 301911-12.

$

1911-12.

1912-13.

I

131,281
23,791

Freight revenueLT
Passenger revenue

1,932

35

Durham & Southern

Including DuluthRainy Lake & Winnipeg
-Month of Jum
—July 1 to June 30—
1913.

9

—46,112
441

Duluth

8,744

277

61,549
16,377

1,116,624
191,371

639,673
171,068

300,817
37,507

303,513

79,391
13,938
7,146
1,075
15,342

1,339.393
168,836
171,971
9,607
483,089

831,688
116,146
105,560
5,438
251,276

351,404
37,369
27,286
7,733
73.719

500,714

165,419

Month of July——
1912.

1913.
$

$

20,207
3,434

22,777
3,682

343,654
38,172
25,988
5,995

25,055

28,197
4,979

532

649

68,267

6,111

5,614

159.373

12,721

14,586

29,764

'

666

12,000
4,025
2,189

151,263
57,374
16,938

131,344
38,657
15,825

Transportaton exp.

8, 450

"5",602

86,358

60,008

161,440
34,769
20.354
1.715
52.310

Tot., incl. general

15.835

12,299

168,276

120,381

114,364

39,338

874,063

—299

—17,013

10,962

47,076

40,053

465,329

330,974

185,985

184,280

12,334

13,611

—299

10,962
4,114

47.076
8,072

40,053
3,359

465,329
63,291

330.974
33,478

185,985
15,298

184,280
14,700

12,334
1,275

13,611
1,250

6,847

39,004

36,693

402.038

297,496

170,687

169,580

11,059

12,361

165

92

58

58

Tot., incl. other rev.
Expenses—Maint. way
Maint. of equipm't.
Traffic expenses

•

12,806
5,853

—

Net from railroad

-

—3,029

2,003
2,611

1,779

Outside operations, net
Total net
Taxes

—3,029

i

354

364

—17,013
4,160

—3,383

revenue..

—663

—21.174

...

Final net

Miles of road operated

2

2

East Jersey

East Broad Top RR & Coal
—Month

of June

1913.

1912.

I

EARNINGS

s

July 1 to June 30—
1912-13.
1911-12.
s
s
296,505
270,616
33,735
31,152

Freight revenue
Passenger revenue —'

22.966
2,648

2,323

Tot., incl. other rev.

26,027

Expenses—Maint. way
Maint. of equipm't.

1,780
5,968

22,965
2,151
396
8

122

3,903

53,115

Month of July

Traffic expenses

—

Transportation exp.

,

20,128

335.509
31,866
30,374

1912-13.

1911-12.

%

9

53,692

22",574

.

Taxes
Final net

1
operated!

...

MHes of road

2,344

300
921

404
516

16,766

2 ,255

8,718

145.953

132,223

38,340

33,302

433,109
55,307

"l~,444
2,530

3,631

14,247

189,555

174,825

9,906
7,155

4,113
3,460

601

7,573
2,400

1,093

12.271
1,931

14,247
1,290

189.555
8,931

174.825
5,690

17,061
3,199

10,340
46

12.956

180,624

169,135

13,862




46

,

5,173

------

48,864

37,734
3,564
3,745

2,799
197,560

15,383

40.705
4,414
6,380
240
15,907

331,896

27,947

150

•

743

'

328,149

24,973

144,746

350

0.48

Month of July—
1912.
9
9

1913.

104,960

12.762

895

492

-

Connecting

—

476.643
60,325
52,155
2,135
195.344

"

13,756

Outside operations, net
Total net revenue.

4,232

12.271

Tot., incl. general
Net from railroad

—July 1 to June 30

9

37,416
7,391
6,975

27,888
22,473

■ ■

1912.

9

—

48,246
3,497
10,141

307,049

■ ■

East St Louis

1913.

116

"¥.099

RR & Terminal Co

—July 1 to June 30
1912-13.
1911-12.
9
9

134

372

129

709
300

144,881
21,730

105,333
16,102

12,891
1,684

12,850
1,998

409
0.48

123,151

89,231

11,207

10,852

12.757
92
'

3

RAILWAY EARNINGS

20

■

,

East Tennessee & West Nor Caro
-Month of June
—July 1 to June 30— —July 1 to June 30
1912-13.
1911-12.
mar
ieis,

EARNINGS

mjdir mi-n.

ll,420

Freight revenue
Passenger revenue

—-Month of
1913.

Jul^f——

9

—July 1 to June BO-^
1912-13.
1911-12.

183,158
42,544

184.607
38,716

33,352
13,098

38,325
12,378

18,042
1,405
1,521

229,923

50,410
26,397
9,139

54,769
32,816
8,433

2,635
1,078
4,042
1,842

3,949
3,054

697

-

2,455

891
6

1,148

7,126,208
1,151,937

1913.
$
570,662

6,267.290
971,461

8,667,716
1.039,279
1,161,259
175,734
2,420,384

7,613.456
906,737
1,045.765
149,028
2,121,993

—

142

118

Transportation exp_

4,943

3,621

18,911

19,121

1,777

1,546

Tot., Incl. general

8,785

8,108

114,519

114,605

59,821

65,485

4,794

5,955

5.118,283

4,499,416

Net; from railroad
Outside operations, net

97259

9353

119,701

115,317

—9,410

—10,715

—751

—2,005

3,539,433
—35,652

3,114,040
—58,135

3,505,780
378,952

3,055.905

3,126.827

2,777,873"

Trafflc expenses

967

1,196

26,053
24,970
1,292
47,831

116

85

~

483

6,113

115,317
5,956

—9,410
1,360

—10,715
1,393

—751
108

—2,005

474

8,785

9,450

113,678

109,360

—10,771

—12,109

—859

36

Total net revenue..

Final net

36

—2,120
36

Miles of road operated

119,791

9.933

9,259

Taxes

£6

EARNINGS

July 1 to June 30— —July 1 to June 30
1912-13.
1911-12.
1911-12.
1912-13.
$
$
$
S
82,472
91,147
299.890
332,996
18,793
20,085
20,095
23,408

of June
1912.

1913.

J

Freight revenue..
Passenger revenue

24,244

26,351

1,821

1,299

26,334
8,931
4,604

27 *950

'6,294
2,670

360,930
63,207
44,029

324,222
64,143

"4",255

4,183

95",207

81,558

—

Tot., incl. other rev.
Expenses—Malnt .way
Malnt. of equipm't..
TThffic expenses

Fernwood & Gulf

Superior

Escanaba & Lake
■Month

.

115,672
31,057
25,347

^,358

$

352,783
58,609
59,618
5,155
136,104

5,037,056

4,432,303
695,835
588,595
83,775
1,837,345, 1.618,490

10,799

264,353

-12,111

3.498

2,515

377

2,098,830
1,749.973

770,841
706,790
92,189

8,353
2,153

13,932
1,632

150,228
16,044

128,249
15,859

-7,133
2,958

-12,111
2,058

Final net
Miles of road operated

6,199

12,300

134,183

112,389

•10,092

-14,170

"•

131

142

Fonda Johnstown
'-—July 1 to June 30

-July l td June 30—

-Month of July

1911-12.

S

1912.

1913.

1912-13.

1911-12.

S

1912-13.

$

S

%

—15,261

1,315,222
—5,368

37,779
32,018

69.940
16,060

1,467,191
214,518

1,309.854
186,560

5,760

53.879

1.252,673

1,1234293

31

642

642

Fort Smith & Western

Gloversville

&

279

3,117,081

1,482,452

2.301

3,219
31

3,554,603

72.494
—2,554

2,515
213

3,498

"

280,288

39,795
-•2.016

17,981

Total net revenue.
Taxes

Fort Worth Belt
-Month

—Month of July
1913.
1912.
S

of June

1913.
S

S

July 1 to June 30—•
1912-13.
1911-12.

1912.

276,179
661,082

Freight revenue
Passenger revenue

1911-12.

S

13,314
2,431
2,280

1,728

129

-7u33

1912-13.

2.452,213
1,914,798

3,123

128,249

901

203,893
105,420

139

195,973

2744276

142,696
107,851

5,977

150,228

296,515
22,238

196,270
982

10,395
2,186

2,883

210,701

368,663
298,325
—1,810

231,270
35,000

S

130,524

14,017

469,063
232,907
1,636

—

-July 1 to June 30—

1912.

304,149
64,076
48,133
5,585
128,632

13,952

Tot., incl. general

Net from railroad—
Outside operations, net

EARNINGS

of June

1913.

9,476
2,086

2,274

666,989
56,148
90.333
12,694
184,417

199,099

278,031

-Month

118,412
37,536
22,684
2,030
35,052

122,806

701,970
122,072
104,669
15,770

Florida East Coast

Month of July
1913.
1912.

37,029

43,403

—

Transportation exp.

115

$
556,827
82,117

103,342

234,311
21,374
22.441
1,462
51,999

18,045

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't-

xcyu.

——Month

1
"

13,938
3,526

3,927

—

[Vol.

..

245,431
635.202

22,173

27,451
66,826

457,643
227,201

500,242
222,980

22,995
20,508

21,399
17,549

17,592

13,952

177,254

72,860

143,894

988.323
94,299
56,364

98,888
8,459
4,111
1,522
25,241

98,788
8,447
4,308
2,019
26,068

726,307
151,009
165,673
14,392
235,082

768,789

41,803
11,438
14,874
1,10,3
16,569

21,323
1,477

15.007

140,417
160,162
12,866
233,986

46,436
16,618
17,769
1,204
16,484

215,729
21,4108,942

173,139
14,650
3,256

—

9,148

Transportation exp.

270,893

932,167
:
76,123
53,346
8,857
262,234

"9",849

~8~, 628

118",723

109,190

Tot., incl. general

498,086-

458,438

45,172

46,884

605,932

587,580

54,922

47,034

13,756

11,196

169,896

142,582

Net from railroad.—

490,237
—7,376

473,729
—5,782

53,715
2,217

51,903

120,375

181,209

—8,486

—5,230

7,566

4,710

45,832

30,556

482,860
47,863

467,947
40,875

55,933
4,166

52,880
3,5 JO

120,375
51,784

181,468

—8,486

7,566

49^263

4,500

—5,230
4,500

125

150

45,832
1,625

30,556
1,800

434,997

427,072

51.766

49,380

68,590

132,205

—9,730

7,441

4,560

44,207

28,756

31

31

—12,986
221

15

15

Tot., incl. other rev.

Expenses—Maint. way
Maint. of equipm't.
Traffic expenses

Outside operations, net
Total netf revenueTaxes

—

Final net

—

Miles of road operated

976

-July 1 to June 30—
1911-12.
1912-13.
*

-

$

$ 1

Freight revenue
Passenger revenue

...

221

162,133
36,248
20,321

4,710

Month

July

of June

1912.

1913.
I

July 1 to June 30—
1912-13.
1911-12.

1912.

S

1913. ■
%
4,880
3,688

124,638
41,466

265

.

Galveston Houston in Henderson

—•Month of

108,916
44,433

..

259

Gainesville Midland
EARNINGS

969

.

525

$

.

11,708
7,675

10,874
2,819
1,469

9,174
2,561

14,898
7,277
24,191
1,698
1,024
si,162
11,314

22,507

Transportation exp.

69,714

4,529

5,298

Tot., incl. general

142,651'

137,268

9,894

10,747

10,482

36.612

-719

127

19,482
4,800

36,612
4,800

-719

127

400

400

2,567

14,682

31,812

—1,119
74

—272
74

5,067

—6,544

...

Net from railroad

4,644

1,561

27,894
17,000
14.441
172,583

411,942
46,699
31,488
17,725
218,601

26,051

2$3 126

332,849

7,634

—3,544

68,804

79,098

7,634

'

6,516

2,827
1,303
13,520

16,556

356

353

238,585
133,292

72,894

—3.544
3,000

Maint. of equipm't.
Traffic expenses

$

321.931

173,881
29,557
22,022
4,534
67,692

Tot., incl. other rev.

Expenses—Malnt .way
:

S
213.294

5,433
4,749

68,804
35,920

79,093
40,215

32,883

38,877

OUtBide operations, net
Total net revenue.

.

Taxes
Final net

—

Miles of road operated

'

Galveston Wharf
-Month

of

$

Freight revenue
Passenger revenue

Genesee & Wyoming
July 1 to June 30—

June—■ —July 1 to June 30—
1912.
$

1913.

EARNINGS

9.164

9,365

1912-13.
$
215,603

1911-12.
%
202,545

1912-13

Expenses—M aint .way
Maint. of equipm't.

20.449
1,958
4,035

30,102

2,084
3,177

558,998
26,230

1911-12.

S

974

107,834
15,899
7,707
2,111
20,843

—

665

346

Transportation exp.

30,595

19,880

448,932

Tot;, incl. general

36,961

27,592

506,420

435,099

"78,622

Net from railroad—_

-6,858
10,338

-7,142
11,821

•52,578
392,341

43,180
351,325

10536

Traffic expenses

Outside operations, net

26,323

2,398

U.380
•

—July 1 to June 30—
1912-13.

1911-12.
s

S

S

18,784
3,632

-

268,787
58,129

254,562
46,408

23,748
7,567
5,956

347,428

317,808
63,553
67,553
2,209
103,138

162

218

170

1,627

6,909

8,939

58,082

8,170

4,509

14,375

23,680

49,751

18,634

6,979

4,837

67

73,269
2,419
115,446

197

4,267

83,610

288.402

250,549

59,026

"677258

.*

Final net

3.479
1,211

4,678
1,113

444,919
18,346

394,506
14,584

105,366
3,465

49,751
2,892

18,634

6,979

4,837

300

240

500

500

59.026
6,000

67,258
6,926

2,268

Total net revenueTaxes
.

19,212
3,800

615

26,804
1,651
1,174

20,519
4,403

78

$
13,519
4*4,236

11,488
1,026

59

183,988
17,460
12,197
2,536
33,557

478,279
24,026
20,375
2,132
379,617

Georgetown & Western

S

106,643

50

Month of June
1913.
1912.

—Month of July
1913.
1912..

180,060
1,007

...

Tot., incl. other rev.

"

50

3,564.

426,572

379.922

101,900

46,859

1834

6.739

4,337

—432

53,026

61,332

19

16

112

101

11

11

Miles of road operated

.

Georgia & Florida
-Month

EARNINGS

of June
1912.

1913.
$

Freight revenue
Passenger revenue

—

33,130
17,647

-July 1 to June 30—
1911-12.
1912-13.
$

$

34,572

-

Georgia Florida & Alabama

21,073

S

—July 1 to June 30
1912-13.
$

542,634
241,647

511,861

245,293

832*689
153,078
123,578
35,176

,592,254
124,589
97,340
16,873
203,666

Georgia Northern

Month of July

-—Month

1911-12.

1913.

1912.

S

375,147
173,196

67

$

of June

July 1 to June 30—
1912-13.
1911-12.

$

351,995
165,960

27,401
16,135

564,585
97,024
92,701
16,525
222,282

1913.

1912.

$

28,402
18,362

8,502
4,390

4!821

47,308
8,927
5,963
1,330
15,940

50,298
9,398
8,025
1,428
18,212

13,902
2,444
2,221

13,148
3,005
2,045

4,198

3,845

35,735

40,722

12,819

12,274

9,576

1,083

874

.

—

2,952

exp.

28,393

58,532
15.010
12,502
3,778
30,181

349,586

800,541
140,142
114,827
37,340
366,233

Tot., lnci. general

63.431

66,994

733,653

727,942

489,310

481,223

=8312

—8.462

99.036

72,598

102,943
—6,132

83,362
—7,372

11,573
—359

—75

-8.312
3,300

—8,462
3,275

99,036
39,701

72,598
39,145

96,870
28,200

75,989
24,797

11,214
2,200

9,500
2,500

1,083
675

669

—11,612

—11.737

59,535

33,453

68,610

51,191

9,014

7,000

408

204

352

352

192

192

68

68

Tot., incl. other rev.
Expenses—M aint .way
Maint. of equipm't.
Traffic expenses

Transportation

55,118
14.250
11.930

.

1,194

595
—1

"

Net from railroad

Outside operations, net
Total net

Taxes

revenue..
—

Final net

—-

Miles of road operated

'

Great Nort hem

Georgia Southwestern & Gulf
—July 1 to June 30
1912-13.
1911-12,

EARNINGS

$
68,126

Freight revenue
Passenger revenue

37.954

Tot., incl. other rev.

$
72,884
41,857

oU?&
^3,696
1,925

-Month
1913.

of June—

System-

1912.

1912-13.

1911-12.

1813.
4,188
2,517

1012.

4,148,213 58,426.235 47,877,369
1,292,237 15,158,588 13,623,008
5.830.534 78.654,590 66,160,622
1,525,249 12.321,241
9,195,465
625.177
9,361.316
7,850,317
96,455
1,242,553
1.089,710
1.478,391 21.473.237 18,177,686

8,159
1,402

4,511

204
26

389
120

754

956

3,304

6,797,699
1,617,649
615,499
125,597
1.804,060

2,205

2,900

33,721

317283

72,840

65,023

$5,903

29,280

.903

29,280

""IP®

3,347

7,293
1,115
1,098

7,856
1,126
674

390

507

3,145

.739

,6.546

6,483

4,407,240

3,824,431

45.828,640 37,610,569

4,062

5,106

38310

4042

746

1,372

9,390,459
18,971

2,000.102 32.825,950 28.650,063
20,468 ■
121,522
115.859

47097

| —696

38.010
5.067

43.742

746
420

1,372
423

2,490,430
422.096

2,026,571 32,947,473 28,665.912
264,200
4,276,898
3,486,571

47097

—595

1,137

848

??: 019

33,942

£8,370

326

949

1,987,334

1,762,370 28,670,675 25479.340

2.959

-1,443

44,883

35

35

Net from railroads—

.

'

Outside operations, net
Total net revenue.
Final net

-

-

Miles of road operated




■

5.372

'

7,752

'

7,482

'

66

128,744
23,894
7.347

1,623

66

60,406

88,458
26,120

678

78,369

Transportation

1911-12.

ma-is.

4,881,023
1,476.491

3,067

76,119

Traffic expenses

1

r
>
Farmers* Grain & Shipping
-July 1 to June 30— —Month of Jime— —-July 1 to June 3}0—

Tot., incL genera!

8.400

1

"■»'9

-

4.593
40.729

Maint. of equipm't.

1

"

f.

exp.

Expenses—Majnb.way

1

874

122,051
15,086
6,772
4,396
42.194

114.130
12.963

11 11

Great Northern

Month

1913.

I ! II1 •11 1 * 1 111 111
•

—

.

20,910

'

94,304
19,714

5.779

10,079

'

J. L

o

Y t_.f

?

Sept.,

of June— —Julu 1 to June 30—
1911-12.
1912-13.'
1912.

■Month

1913.

EARNINGS

Freight revenue.
Passenger revenue
.

Traffic expenses

,

75,179

64,823
41,248

36.456

139

114,243
14,565
10,737

1,807

59",739

8,153
1,970

6", 138

725,276
146,794
85,486

57,543
15,982
8,670

Kewaunee Ore

r

33,608

119,807
43,612

16,758

143.794
92,313
5,282
231,724

16,512

1,126
47,896

44,320

4,414

103,559

90,617

10,174

7,513

15,035

75,670

92,065

6,488

15,035
2,171

75,670

92,065

6,488

8,845

7,263

740

6 32

12,864
225

66,825

84,801

5,747

6,067

36

36

4,378

92,883

87,269

501,698

480,791

3,775

21,359

34,984

256,294

244,4,85

1,629

3,775

21,359
1,237

34,984

105

256,294
30.529

244,485
27,806

14,537
2,461

.216,678

12,076
,
225

,

1,474

Miles of road

18

operated

1912-13.

1912.

*6,007

S

i

$

-Month
$

1*8,663

.

6,700

.

6,700

-July 1 to May 311911-12.

-Month

1911-12.

1912-13.
t

ltl3.
*

$

;

116

1,104

v.

Gulf Line

$

1912-13.

1912.

1913.

1911-12.

;

Gulf & Ship Island , v V .: :
of June
July 1 to June 30;—

?.

■

,

July 1 to June 30—

of June-

1913.

EARNINGS

.

Gulf & Sabin© River

t

■Month
*

225,765

34,154

20,121

3,669

18

Final net

829

16,663
2,621
2,368

182.682
16,545
20,055

16,414
29,118

411

14,537

.

4|l32

39,737

154

Total net revenue.

9,069

>
541
16,158

5,285

f

179.229

54,773
13,554
7,694

Outside operations, net
■,.

"
-

,.

9,73
5.77

14,214
1,388
2,076
!
75
3,366

1,629

Taxes

•—Month of July
1913.
1912.

1911-12.
128,012
41,845

1912-13,

1912.

217,209

757,993

6,716

Tot., incl. general

Western: System—July 1 to June 30-

Month of July-

43.006

Net from railroad

* '

,

.,

1913
35,265
17,412

—

Transportation exp_

Western

—July 1 to June 30
,iil912-13.
1911-12.
514,184
495,303
171,971
168.724

55.697

769

8.345
691
60

Green Bay &

122,253
22,309
3,654

2,912

—

Tot., Incl. other rev.
Expenses—Maint.way
Maint. of equipm't..

$

$

%
6,618

$
4,844

14J.,

.*.

^ f

FtrV

^

Green Bay &

Grafton & Upton

..

21

RAILWAY EARNINGS

'

a

123,911
47,926

125,657

182,055

173,199
29,601

4,918
3,277

2,335
3,634

363,517

9,562
7.914
1,806

6,528
5,883
1,493

29,346
596,841

512

683

58,662
23,436
9,437

6,615

6,789

86,647

13,597
9,280
57,408

131,969
35,227

110,438
31,617

1,548,699
411,903

1,427,619

180,725
21,328
34,645
3,159
54,488

154,586
26,986

1,982,322
264,875

31,385
2,845
60,132

2,110,542
285,670
376,938
34,158
563,590

...

—11

577

104,583
4,817

Tot., incl. other rev.
Expenses—Mai ot. way
Maint. of equipm't.

6.416
1.114
3,508

39,168
5,134
4,629

115.545
36,313
46,198

27

129

97

Transportation exp.

19
4,146

5,852

48,966

41,237

11,985

17,603

147.817

134,414

121,935

132,179

1,359,998

1,358,094

19,084

16,476

200,354

126,735

Tot., incl. general

—14,069

"587790

22,407

750,543

624,228

—9,521

—9,948

—18,299

46,464

22,407
4,979

750,543

624,228
57,883

—9,521
1,005

—9.948
525

7.991

—10,526

•—10,473

—26,290

Freight revenue
Passenger revenue

Traffic expenses

41,278

-5.568

Net from railroad

21,565

—32.272

4,475
120,349
37,061

40,890

404,531
'*

Outside operations, net

Total

'

net revenue.

Taxes

.......

21,565

—5,568

_

58,790
9,136

-14,069

—32,272

2

i

-^5,568

21,565

31

»j Final net......
Miles of road operated

49,654

307

25

Of June
1912.

-Month

'

1913.

viv

Freight revenue.-Passenger revenue

Maint. of

124,151
20.239

9,994
1,072

987

102,068
10,324
9,380

398

342

822

183

185

42,057

7,240

3,646

,

■Month

June. 30—
1911-12.

66

;

•

1912.
$
531,327

$

590,611
76,709

40.991

123,908

7,707

7,621

4,933
3,074
90,682

723,500
52,265
110,835
8.839
215,350

666,227
65,904
105,642
8,272
193,899

6,954

1912-13.

1911-12.

6,36*5,

5,958,009

r

'

$

<■

874,596

929,990

74,192

139.265
11,013
8,338
2,571
102,345

492

46.464
5,473

;

1 to June 30—

-Julu

of June

1913.

S
-

10,754

—18,299
'*

Hocking Valley

65,,505

exp.

Transportation

$

74,988

21,530
2,188
66,544

...

1912-13.
$

1912.

*

10,281
1,623

1,450
85..

equipm't

Traffic expenses

1 t
X to

- July

June

of

1913.

7,065

8,810
2,163

u Tot., incl. other rev.
Expenses—Maint.way

Month

July 1 to June^ 30—
1911-12.
1912-13.

$

$
5.864

-

40,570

97

111

Hoboken Manufacturers

Hannibal Connecting
EARNINGS

566.345

663,259

17,428

,307

-14,072

—32,272

87,284

"

7,817,643
i

781,109
1,595,265
106,383
2,332,475

2,245.656

1.192,191
,620

11,080

6,457

112,913

65,511

10,510

9,185

134,662

111,699

403,425

386,783

4,983.843

4.579,042

Tot.» incl. general

Net from railroad
O utside operations, net

-2,269

3,823

11,238

36,556

—516

568

4,603
6,728

5,209
>,603

320,074

279,444

2,833,800

2.724,637

U Total net revenue..

=27269

3,823

100

3,144

18.254

2,833,800
" 477,900

2,724,637

2,048

320.074
52,800

279,444

1,231

11,331
30,817

17,813

97

11.238
1.160

36,556

94

2,364

3.726

10,078

35,325

-1,191

—3,044

19,486

—441

;r

Taxes

—

Final net
Miles of road operated

Month

EARNINGS
ac J, H

Freight

i

revenue

Passenger
i

<

-,w.

1912-13.

June 30—

1911-12.

S;

j*

Month

June—

of

1913.

6,266

70,067

6.144
487

7,107

586,068
69,947
71,165
5,150

12-13.1

1912.
%

43,633
11,891

45^285

.

4=

11.160

Illinois Northern

•,

Month of July-—

385,163
111*705

1912.

1913.

1911-12.
$

1912-13.

b»

•■tr
540,839
121,658

54,461

,

1911-12.

*

$

—r-~r.Tr
...

9,917

9,033

142,580

56.841
10,255
6,902
2,008'
23,026

275,612

228,389

167,893

292,137
13,563
28,445
2,545
129,891

16,568

44 201
; 12,492

28,204

277651

357,312

330,734

45,090

44,862

501,035

432,109

232,171

186,872

21,196

16,659

23,298

17.633

302,663

255,334

11,751

22.473

181,510

83,781

171,482

105,265

.11,,453

15,575

23,298

Net from railroad
Outside operations, net
Total net

revenue..

Taxes

177633

302,663

11,751

22,473

"171,482

11,453

_24,000
27177663

4,000

4,000

181,510
48,000

83,781

2.000

255.334
24,000

519

15,575
1,255

10,933

14,320

6,976
367

...

21.298

15,633

70

Final net

-

—Month

EARNINGS
■

3.519,278
1,104,449

Freight revenue-t_...
Passenger revenue
-

19,436

33,013
o
2,846;

89,679
>14,183

.

52,000

-

5,611

31,781

133,510

165,870

3,316
13,166
4,557
1,855

-Jultr

7,750
5,243
1,069

1913.
9.209

l^uke

1911-12.

1912-13.

Hliiibis Wv U VAAvA a
||,| | | f|*r* * fT Southern

t

Month of June
1912.
S
<
32.118
4,391

S

149,741
41,544

152,768
43,069

34,276
4,624

1987124

20^206

86,310
19,593

47,630
18,545

5,764
1,531
'44,990

205:869

18?,113

33,206

409,749

382,828

4,653

133,250

4,653
2,000

133,250
22,895

!2,448

2,653

110,354

60,277

Transportation etp.

1,203,856
105,225
1,860,014

13,857,548
;
98,433
1,320,583
1,400,941
1,938.283 24,743,324 23,653,249

2,906

3,290

59.963

48,861

Tot., incl, general

3,827,058

3,874,254 50,048,911

48,121,466

9,830

11,514

178,396

129,818

34.751

1,485,924

1,356,827 14,231,991 10,605,805
—10,791
—77,592
—107,356

3,335

—3,763

19,728

70,388

5,655

70,388
8.600

37,859
8,235

40,407
7,606
7,449
1,339
46,800

5,655
2,090

Traffic expenses

.v.d, > ^,v

.T.

-.'

572,440
1,148,059

534,218

.

Net from railroad

—2,318

Outside operations, net

1,4?3,605

revenue..

1,346,036

256,300

Total net

229.282

Taxes
Miles of road operated

■Month
1913.

•

Tot., incl. other

21.364
23,618
6,224
3.148

J

■

19,728

300

7*092

2,935

—4,063

«-62

52

286

'

12,635

552

•>

8,074,688

7,408,775

2,464,156

2.193,655

18,934

294,505

226,824

Cr49

41.240

1.472,196
1,557,565
319,663,
4,796,525

"
540,241
211,094
S

J

.

T

—Monf/i of July

2*4,172

225,300
3,373

236,176
3,595

4,296,475

256.731
20,206
26,127
3,279
63,078

1912.

1913.

S

?

801,268
140,021
116,016
23,484
342,948

369

.

22,404
325

.

25,785
2,595
1,327
276

23,948
1,655
1,948

5,546

242,844
21,553
28,003
3,226
61,331

1,258,295
1,340,615

S395

Ironton

—July 1 to June 301911-12.
1912-13.

1912.

506,490
203,082

.

762,028
114,511
122,473
27,135
341,109

11,260,564 10,354,769

82,696

;

136

136

S

3,616

..

'

72,0™
71,830
17%620

-.,892

.

1913

1911-12.

1912-13,,

.

3,655

66,788

Month of Juh

—July 1 to June 30

"

219,923

276,587
2,099

18,072
-

rev.

—3,763

400

.

International & Great Northern

of June— —July 1 to June 30—
1911-12.
1912-13.
1912.
*

925

3,335
-

4*762 (Sea this road on p. 30.)

S

■L• I
' ■"
:'c >
Freight revenue.
Passenger revenue

7.812,718

Illinois Terminal

-

EARNINGS

2,685,730

2,903,550

1,116,754 11,250,848

1,227,304
4,762

Final net

14.154.399 10,498,448

-

48

14

July 1 to June 30—
1912-13.
19li-12.

1913.

30-

7,b91,214

incl, other rev.
Expenses—Maint.way
Maint. of equipm't.

901

2,375

■

5

^

June
1912.
5,055
2,234

of

^

■

94.213

8,519,024
13,952,654

5.231,082 64,280,903 58*727,272

57312,982

H Tot.,

2,855
3,796
277-

v

150

Chicago

-Month

.

105,265
-41,051

SyStbm

Cen tral

1912.
1912-13.
1911-12.
3,423.447 42.589,298 37,881,765
1,151,153 13,455.884 13,337,562

403,653

515,890
68,789

682,545
76,735
103,188
.15,820

if

Illinois Central
of June
July 1 to June. 30—

1913.

"

i.

67,335
6,512
9,474
1,798
24,223

18,473

7,751

231.334

niinoisi
V'4'.I-',.*,..J

-

70

Miles of road operated

>

,

659,976
83.603
73,601
5,430
153,296

exp.

tTot., incl. general

-'

2.355,900 ^.310,448
352 (?ee this road on p^.32)

July 1 to June 30

June 30—

414,188

252,394

2.000

Transportation

•

27,049

,

ni
1

500,516
66,850

569,420

37.241

!

267,274
351.

Washington Northern

Idaho &

:S

51,502
.8,116

Traffic expenses

i'

,,

...

Tot., incl. other rev.

Expenses—Maint.way
Maint. of equipm't.

j

July 1 to

of June
1912.
$

5,491

revenue

856

1

V
6
Huntingdon & Bd Top Mt RR&C
1913.
$
44,508

-h468

1.372

•.-I"-"

:.4,245

513

366

Transportation exp.

6,076

2,887

92,525
41,494
5,515
64,727

4,369

226,135

138,325

8,527,479

7,548,770

-638,756

661,698

134,859

133,517

9,733

20,498

11,370

Tot.f incl. general

3,119

14,564

68,369

88,498

2,733,085
-21,013

^809^996

*12072

14$,570

121,871

109,327

14,415

14,215

—6,327

—1,869

-3,852

3,119

68,369

396

4.795

2,712,071
340,000

2,803,662
309,000

121,402
20,000

145,718
30,000

121,871
-7,775

109,327
8,145

14,415

429

88,498
4,574

14.215

14,564
14,167

63,573

83,924

2,372,071

^,494,662

101,402

115,718

114,096

101,182

13,7

2,690
18

18

1,159

1,159

Expenses—Maint.way
Maint. of equipm't.
Traffic expenses

Net from railroad..

Cr306

25,720
4,777

53,038

Outside operations, net

Total net

'

revenue..

Taxes

Final net
Miles of road operated
j

Jamestown Chautauqua
Month

1913.
$
'
5,245
1,196

EARNINGS

Fseight

revenue.

Passenger revenue

—

7,006
2,286
1,051

Tot!, Incl. other rev
Expenses—Maint .way
.

Maint. of equipm'tTraffic expenses
Transportation exp.

& I*
$

S

279,645

Jonesboro Lake City

of June— —July 1 to June 30—
1912.
1912-13.
1911-12.
$
7.191
2,564

P

—Month
1913.

of

& Eastern

$

106,403
25,921
9,992

10,559
2,316
730

102,803

24,974
3,529
6,914

17,242
6,005
2,870

268,485
63,783
32,518

276

115

14,607

6,629

3,182
75,996

2.5.137
6,566
2,578
67,661

-Month

—July 1 to June 30—
—July
1911-12.
1912- 13.
S
S
127,851
175,991
10,565
3,896
.62,310
.50,854

1913.

3,196

'

600

650
n

6*7,346
65,100

77,516
62,905

11,785
1,395
1,289

143,384

150,^00

14,886
14,674

17,914

290

183

2,943

60,493

7,312

f' 7,403

97.Q69

; 5,374

10,983
1,610
1,214

2^1,529
40,667
35,380
3,560

4,259
5,671

600

323

5,435

4,877

6,824

70,261

9,154

9,988

120,115

112,074

25,617

17,241

193,342

158,816

10,770

10,585

—2,147

571

—13,711

—9,271

-543

1

75,142

63,213

213

1,200

—9,271
4,800

j

75,142

910

20,526

63,213
13,202

427

424

54,616

50,011

—213

.775

54

54

13,124
2,481
"96 ,'075

.9,941

—543

"

133,443

Tot., incl. general

Net from railroad
Outside operations, net

...

-(Total net

.'

.

r

revenue._

Final net
Miles of road operated

.

:

-

.

—2,147
400
-

—2,547




35

571
400
171
35

—13,711
4,800
-

■

—18,511

'
-

—14,071

7,161

■

.

—7.694

—909

96

100

^

13,615

-July 1 to June 30—
1911-12.
1912-13.

of June
1912.

a
4,613

$

18,110

283

12

1912.

78,514
16.445

.

Kalamazoo Lake Shore & Chicago

Jun

82,145
16,778

'

133,393
17,508

,

'

z, a a, St

213

1,200

*

•

09^. OSt-4 I
;
I

4,655

17,506
r

5.201

12.304

22

RAILWAY EARNINGS
Kanawha & Michigan
—July 1 to June 30

EARNINGS

1912-13.

Month

of

June

xcvii.

Springfield Kansas City Mexico & Orient By Co

July 1 to June 30—

1911-12.

1913,
1913.

1913.

1912.

1912-13.

$

$

$

s

-Month

1911-12.

$

)
2.858,750

Freight revenue.
Passenger revenue

Kansas City Clinton &

Month of July
1912.'

[Vol.

$

of June

1913.

•July 1 to June 30—

1912,
$

$
49,342
12,852

1911-12.
8

1912-13.

S

2,732,887
346,359

261,922
35,139

256,511
33,894

17,267
11,037

16,075
11,478

211,382
144,675

190,969
141,185

296,581
39,701
41,959
2,224
83,561

3,396

31,745
7,650
1,543

402,997
70,145
42.599

379,419
71,500
30,459

517

355

5,889

exp.

303,716
46,707
60,829
2,734
81,764

32,208

28,882
958,671

3,145,252
405,946
570,345
27,675
928,427

11,113

12,412

154.560

148,046

67,809
14,246
15,254
5,785
26,118

Tot., incl. general

2,185,418

2,013,560

199,304

173,734

21,339

23,472

291.077

274,025

70,500

10,868

8,273

111,920

105,393

-2,691

-14,015

59,820

111,920
24,900

105,393
24,000

-2,691
6,108

-14,015
4,750

59,820
61,122

87,020

81,393

—8,800

—18,765

—1,302

372,310

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't..

3,303,228
478,268
641,444

Traffic expenses

Transportation

Net from railroad

4.591

1,117,809

1,131,691

104,411

122,846

Outside operations, net

—59

—92

—21

1,117,749
106,261

1,131,599
104,538

104,389
9,471

122,797
9,182

10,868
2,150

8,273
2,000

1,011,487

1,027,060

94,917
176

113,615

8,718

6,273

176

154

154

Final net

i

Miles of road operated

Kan
—

EARNINGS

Month

of June
1912.

Month

July 1 to June 30—
1912-13.
1911-12.
$
$
698,897
222,226

$
46,245
19,537

$
34,486

50,072
14,009
5,841

exp_

71,020
13,386
14,185
2,869
34,637

62.212

27,703

24,305

Tot., incl. general

69,008

54,040

872,932

Net from railroad
Outside operations, net

2,012

—3,968

76,228

Total net revenue.-

2,012

—3,968
2,500

97,608

rev.

Expenses—Maint.way
Maint. of equipm't-

Traffic expenses

Transportation

Taxes

12,752

3,000

Final net

—987

Miles of road operated

S

140,073

7,955,386
1,694,580

320,208

767,123
107,182
114,005
24,698
257,696

10,706,309
1,024,840
1,344,624
315,868
3,661,311

9,272,859
1,041,392
1,289,936
316,575
3,318,608

585,138

531.457

6.747,157

6,332,838

268,842

235,666

3,959,152

268,842
41,141

235,666

227,700

EARNINGS

1913.

1912.

$

—

------

$

19,363

169,794

504

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.

Month
1913.

39,033
3,809
6,970

320"580

262*304

24",054

23,414

462,384

379,287

36,518

34,996

2,940,020

231

—6,034

—3,828

4.037

2,940,020
410,368

231

4.037

54,910

—6,034
65,626

—3,828

51,133

3,959,152
465,339

4,926

6,50$

184,532

3,493,813

2,529,651

—54,678

—71,661

—8,755

—1.468

9

19

827(See this road

259

12,439
Cr8,296

20,586
Cr2,340

651

of

June-

on p.

5,479

17,181
1,306

31,061

180.358
8,966
29,060

143,982
22,204
18.917

18,843
3,763
4,853

Lackawanna &

1912-13.

$
17,875
1,048
19,418
3,002

36,652

32)

July 1 to June 30—

1912.

$

133,855
4,388

373,252

32,689
3,481
7,657

Kentwood & Eastern

%

10,894

462,615
44,483
84,790

68,163

827

$

Freight revenue
Passenger revenue

1913.

6,658,269
1,599,345

853,980
92,219
110,321
28,298

Month of July
1912.
$
% ,*

1911-12.
$

$

545,522

-July 1 to June 30—
1912-13.
1911-12.

of June

1912-13.

$

623,565
155,038

Kentucky & Tennessee
-Month

259

City Terminal

—July 1 to June 30

1911-12.

■

30,867

—6,468
382

476

1912-13.

s

66,740

3,040

868,607

4,484

Kansas

-July 1 to June 30—

1912.

$

97,608

Tot., incl. other

of June

928,428
199,223
165,550
58,034
332,384

259

1913.

970,540
147,084
162,641
34,968
475,086

Freight revenue.
Passenger revenue

•

Kansas City Southern

City Mex & Orient By of Tex

1913.

,

708,721
160,831

21,270
13,137

—49

Total net revenue-Taxes

5,926

45,756
12,507

—Month

1911-12.

$

$

of June

July 1 to June 3(P—

1913.

1912.

$

.

Wyoming Valley

%

1912-13.

1911-12.

214,983
15,191

203,150
12,132

5,938
48,138

5,409
44,033

$
73.712
540,517

%
58,007
512.183

235,219
44,253
46,667

220,447
39,006
37,355

55,684
5,610
5,420

50,798

.633,094

4,524

587,504
49,414
70,948
7,952
189,445

22

8

536

126

845

591

exp.

2,301

1,959

32,363

23,371

5,459

4,352

66,186

50,715

15.192

14,957

48,786
67,875
7,581
189.012

Tot., incl. general

Cr4,118

3.633

90,354

73,078

16,852

11.864

169,784

137,028

28,204

27,317

327,989

333,866

Net from railroad
Outside operations, net

16,557

16,952

90,003

70,904

1,991

7,554

65.434

83,419

27,479

23,480

—554

—239

305,104
—5,668

253,638
—2,878

26.924
3,369

23,240

299,436
10,429

250,759

25,555

23,240

289.006

243,645

22

22

j

Traffic expenses

Transportation

Total net

Taxes

•

revenue.

.

16,557

16,952

70 ,904

90,003

312

960

89,043

Miles of roadloperated

10

789

65,434
6,638

83,419
3,273

6,764

58,796

80,145

54

-

10

-

Lakb Champlain & Moriah
-Month

EARNINGS

7,554

1,019

70,372

971

532

16,640

1,991

54

740

15,817

r

Final net

of June-

1913.
$

Lake

July 1 to June 30—

1912.'

1911-12.
$

1912-13.

1*1,468

Freight revenue
Passenger revenue

18,127
214

96

Tot., incl. other rev.
Expenses—Maint. way
Maint. of equipm't.

21,011
7,159
2,641

13,641

3,493

-Month

Superior & Ishpeming
of June
1912.

1912-13.

$

$

%

164,632

.1.214

723

215,258
30,383
29,871

194,629
32,048

106,322
10,878
8,301

35,192

185
21,916

81

34,655

87,029
'

'

-:

282

374,526
'3,396

1911-12.
S

1912-13.

:

111

«122

129,370
16,930
13,248
1,660
38,124

12,837
6,595
1,089

14,294

3,188

2,424

74,329

12,253

2.899

583

11,394

""3",312

53,623

47",973

9,973

119,611

19,686

13,404

128,620

124,098

42,928

23,728

386,086

206,088

103,033

63,393

11,464

35.477

—41,296

69,442

Net from railroad....
Outside operations, net
Total net
Taxes

revenue.

1.324

237

86,637

70,530

*237

86,637"

70,530
7,528

63.393
3.253

11,464
2,256

35,477
36,124

—41,296
27,303

63,001

60,140

9,207

-646

-68,599

34

946

928

13,546

378
7

-691
7

73,091

-Month

of June

■

.•

•

i

$

^,776

Las

—July 1 to June 30—

1912.

1913.

6,027

1,727

Tot., incl. other rev
Expenses—Maint. way

.

'

Laramie Hahn's Peak & Pacific

Freight revenue
Passenger revenue

55,041

193

1,324

Final net
Miles of road operated

17

Cr767
201

56

24

.j.

_

EARNINGS

8,168

"

14.089

172,476
21,052
20,332
1,283
46,349

•'

"4*. 646

Transportation

•

°^^1912

S

12,597

exp.

36,082

1913.

126,951
1,931

Tot., incl. general

2,692

Traffic expenses

4,493

7.113

169,926
1,749

164,791
40,285
88,642
1,257
58,468

6,552

Month

-

1911-12.
$

$

155,628
4,033

421,564
149,806
97,189
1,394

-

Lakeside & Marblehead

—July 1 to June 30— —July 1 to June 30—

1913.

187,181
1,517

-

.

6,048

2,545

10,434
2,784
2,250

9,917
7,730
2,901

1912-13.
$-

-Month

69,636
7,654 '

Vegas & Tonopah

55,041
7,006

61,981

■"

583

48,034

11,394

680

596

—96
6

10,797
6

Lehigh & Hudson River

of June—• —July 1 to June 30—

1911-12.

1913,

1912.

1912-13.

$

$

$

-Month

1911-12.

I

$

100,454
25,083

8,461
3,138

16,027
3,574

147,044
35,014'

143,746
35,668

132,320
34,062
20,109
4,806
35,901

12,685
5,245
3,010
1,191
6,300

21,665
5,022
6,182

196,713
48,958
30,249
13,296

6,503

80,888

194,549
41,827
35,038
11,946
78,436

1912-13.

1912.
•

171,664
31,511
19,247
1,503
65,780

191,506

July 1 to June 30—
1911-12,

of June

1913.
$
137.229

130,485
26,284

S

$

1,553,457
47,702

133,990
3,503

1,712.366

139.222

1,849,435

26,376
19,717
1,247
44,299

3AM

238,945
261,941
16,022
672,858

1,621.890
202,201
230,229
14,738
558,511
1,063,234

47,562

exp.

2,800

2,962

167,209
47,015
36,596
3,725
51,496

Tot., incl. general

9,273

15,727

149,693

100,742

17,158

19,890

184,363

122,249

96,880

1,242,607

Net from railroad
Outside operations, net

1,160

^809

17,516

31,578

—4,473

1,775

5,206.

10,186

49,415

42,341

606.827

558.656

Total net
Taxes

1,160
1,000

-5.809
500

17,516
8,490

31,578
4,350

—4,473
1,415

1,775
1,624

5,206
15,719

10,186
19,375

49,415
4,067

42.341
2,730

606,827
48,067

558,656
44,230

160

—6,309

9,026

27,228

-5,889

150

—10,513

-9,189

45,348

514,426

111

200

200

39,611
96

558,760

111

;

Maint. of equipm't.,
Traffic expenses

Transportation

*

491

295

revenue.

.

Final net
Miles of road operated

Lehigh & New England
-Month

EARNINGS

Of

June

1913.

1912.

$

$'

Freight revenue.
Passenger revenue

132,392
1,275

93,782

1,756,474

852

11,600

Tot., incl. other rev
Expenses—Maint. way
Maint. of equipm't.

95,716
11,296
12,505
1,241
23,740

1,793,785
249,045

exp.

136,997
31,097
20,848
1,366
40,483

Tot., incl. general

101,345

Traffic expenses
.

Transportation

Net from railroad

96

-July 1 to June 30

$

$

Taxes
Final net

<179,322
44,251

116,131
38,418

17,408
5,643

4,883

869,291

43,043,371 36,905,935
3,963,589
5,694,422
6,313,316
7,561,270
980,116
982,857
13,993,617 12,606,961

3.447,700
413,137
582,354
93,321
1,159,394

3.533,706
426,548
542,405

232,702
31,759
21,819
1,046
50,084

158,714
24,146
9,759

23,440
2,469

21,129
2,144

204,236
16,659
447,805

133,656
140,053
13,983
251,297

985
600

979

626

39,985

3,926

4,403

52,163

963,039>

576,349

29,107,819 24,720,249

2,315,510

2 133,410

111,194

80,115

8,708

7,997

13,935,552 12,185,685
-280,210 —291,239

1,132,189

1.400,295
—.28,926

121,507
—1,455

78,599
—3,165

14,732

13,131

—23,582

—287

—271

1,371,369
117,500

120,052
3,553

75,434
3,760

14,444

12,860

275

371

1,253,869
1,453

116,499

71,673

14,169
16

12,488

43,553

830,745

292,942

830.745

29,700

292,942
22,000

13,655,342
1,447,205

11,894,445
1,312,011

1,108,607
121,000

41,303

801,045

270,942

271

169

12,208,136

10,582,434

987,607
1,438

Live Oak Perry &

—July 1 to June 30— —Month of July
1912-13.
1911-12.
1913.
1912.

Freight revenue.
Passenger revenue

s

2,941,525
473,817

43,553
2,250

$

1913.

2,806,548
519,096

Litchfield & Madison
EARNINGS

Month of

1911-12.

36,725,138 30.892,555
4,703,733
4,867,554

35,652
3,200

Miles of road operated

1912-13.

I

32,452

.

—July 1 to June 30

1913.

35,652

revenue.

Ligonier Valley

Month of July
1912.

1911-12.

$

1912-13.

845,725
12,342

Outside operations, net
Total net

'

Lehigh Valley

July 1 to June 30—
1911-12.

1912-13.
$

815

•

$

$

-

-Month

Of June

.

Lorain & West

Gulf

Month

-July 1 to June 30—

1912.

1912-13.

1911-12.

$

1913.

%

1

77.540

1,023,061

$

of June

15,886

50

16

Virginia

July 1 to June 30—
1911-12.

$

1913.

1912.

1912-13.

194,837

222,053

11,666

11.294

9,030
1,480

5,452
1,282

88,490
13,612

79,672
13,433

32,681

15,933

243,545

229,759

227,428
25,059
63,075
2,258
44,874

11,846
1,880
6,207

11,638
2,225
4,204

12.062
2,700
1,796

7,345
2,509
2,414

245,017
23,989
7,212

144

354

420

218

3

61

2,487

2,595

2,713

97,839
25,904
25,739
2,219
32,885

16,159
2,062
2,553

2.446

114,619
30,418
26,152
3,315
28,083

32,704
2,524
1,483

exp.

199,001
29,038
72,069
2,636
41,186

"4",950

3,756

46,771

230,523
23,839
12,589
1,530
48,611

Tot., incl. general

153,919

143,316

11,131

9,719

8,250

9,067

95,489

94,422

9,038

8,469

78,996

87,953

Net from railroad
Outside operations, net

45,082

84,112

714

X9l8

"37811

-1,722

19,1§0

3,417

23,665

7,690

166,021

142,570

6

73

Total net revenue..
Taxes

45,082
12,694

84,112
10,156

714

1,918
1,000

3,811

-1,722
613

3,417
7,317

7,763

613

19,130
7,356

23,671

1,000

527

473

32,388

73,955

-285

918

3,198

—2,335

11,774

—3,899

23,144

43

43

81

81

Tot., incl. other

rev

Expenses—Maint.way
Maint. of equipm't
Traffic expenses

Transportation

Final net

Miles ofe

operated




,

34

„

7,289
34

299

■'

1

622

166,320
5,950

143,192
6,050

160,370

137,142

\

—Month of

Month

July

$

110,999
24,092

18,186
3,523
4,613

relght revenue.
Passenger revenue

1,375,538

1,225,616

243,980

211,452

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't..

1,495,110
244,541
226,253
28,422
407,773

139,800
26,559
20,413
2,393

exp.

1,673,459
270,644
254,707
29,287
444,872

33,912

142,596
22,356
19,887
2,331
36,864

Tot.# incl. general

1,059,717

962,368

88,371

86,420

Net from railroad
Outside operations, net

613,741

532,742

51,429

56,176

Traffic expenses

Transportation
j

Total net revenue..

Final net

(See this road

Month

Traffic expenses

Transportation

exp.

216

355

19,499
5,286
2,476

284,460
78,452
44,679
5,814
93,160

17,094
3,016
4,441

23,169
3,439
5,175

238,904
42,232

868

579

7,954

6,859

52,910
9.630
83,901

228,352
26,088
45,852
9,309
73,794

17,731

207,681

173,410

5,437

31,222

54,942

5,437

518

536

8,344

6,365

331,128
89,178
45.259
5,721
103,125

18,994

16,441

267,939

245,758

17,793

-807

3,058

63.188

38,702

-699

'

3,058
1,447

63,188
12,599

38,702
12,997

321

31,222
4,031

54,942
3,157

47.263

1,610

50,588

25,704

-1,049

5,115

27,190

51,785

31)

255

255

I21

121

73

73

on p.

$

%

$

1,383,616

89.949
22,895

1,476,056
291,603

266,855

122,652

1,891.823

18,735
12,999
4,765
48.950

279,162
241,865
71,422
753,999

1,783,969
290,157
168,686
70,313
714,079

91,037

466,395

27,011
4,004

31,615

Month of

■July 1 to June 30—

99,793
47,248

165,172
31,068
17,683
6,376
61,668

39,117
25,238
6,029
65,563

8,921
5,110

336,672
130,458

369,005
140,168

9,651

10,329
2,902
1,803

14,738
3,037
2,394

530,464

31,880
5,820
5,998
3,181

367,926-

4,792

"
*

5,348

490,225
95,492
64,273
42,543
186,908

415,298

518

515

revenue

145,758

126,628

"

10,805

463,201

10,130

38,543

S

-475

2,601

74,927

162,537

463,201
56,867

10,130
8,082

38,543

—475

2,601

466.395
59,504

Final net

:

3,667

23,006
350

406,334

406,890

27,947

I

Month

74,927.
16,861

162,537
17,347

—2,079
1,405

—526

612

58,065

145,189

—3,484

—1,972

92

92

45^,552

32,054
12,177

1912-13.

1911-12.

$

$

$

172

1,250

10,495

11,328
11,931
1,966
1,565
2,660
1,975

93,255

15,371
28,534

153

100,472

102,722
594,131

87,085
89,221
11,885
208,551

44,959
8,188
7,587
1,222
16,478

46,164
9,428
6,248

exp.

581,749
86,839
92,285
11,346
204,399

16,329

2,441
1,871
3,395
2,207

Tot., Incl. general

419.543

420,681

35,366

35,166

13,209

11,504

Net from railroad
Outside operations, net

162.205

173,450

9,592

10,997

-2,167

427

162,205
35,833

173,450
36,679

9,952
2,986

10,997
3,056

-2,167
421

126,372

136,771

6,606

7,941

-2,588

189

8

Total net

revenue..

Final net

1,111

;

189

Miles of road operated

Manufacturers' Ry of St
—Month

EARNINGS

1913.
*

8,853
Cr.67

104,960
20,561
12,160
1,648
39,490

110,505
21,145
12,156

1,029

9,528
12,957

2,716

3,832

60,282

81,195

6,673

5,185

78,383

84,617

32,973

21,532

1,285

3,668

26,376

25,888

32*.973

3,668

4,883

21,532
4,271

1,285

241

753

700

26,376
9,036

25,888
9,954

1S6
8

28,089

17,261

532

.2,968

17,540

15,933

19

19

-Monthof

1912.

6,262

2,274
462

6,156

19,917

11,559

5,899

241,937
23,958
24,790
1,450
67,316

10,936
2,277

179,874*
30,558

156,361
29,470

570

Total net revenue

Taxes
Final net

5,252

,

14,725
2,560
2,636

13,973
3,573
2,255

221,169
54.141
36,991
6,951
95,660

198,433
63,442
29,537
4,784
79,838

41,233
8,860
3,995
17,140

612

408

7,950

6,133

.

EARNINGS

1912.

206,128

189,567

743

15,040

8,866

8,339

10,960
524

86,692

15,040
7,816

8,866
6,174

9,030
1,215

11,484
1,079

143,519

825

14,116

126,842
14,064

—71

7.224

2,691

7,814

10.405

129,402

112,778

79

79

753

—104

66,175

—582

477
;

92

92

of June

-July 1 to June 30—
1911-12.
1912-13.

.■

1912.

343,055
21,150

24,957
2,590

48.872
6,494
5,708

46,022

386,083
53,063
72,769

371,024
53,677
66,280

28,532
5,253
3,670

14,088
3,463
1,607

36

252

287

376

375

exp.

10,939

7,794

91,881

83,925

6,575

Tot., incl. general

25,329

23,820

246,553

232,035

Net from railroad
Outside operations, net

£3,543

22,201

139,530

138.089
138,989

rev

Maint. of equipm't.

.

*

Total net revenue

Taxes

Final net

22,201
2,113

23,543
1,473

...........

22,069

20,087

81

:

139,530
16,578

21,267

—-Month

-July 1 to June 30—
1912-13.
1911-12.

of June
1912.

1913.

$

5

6.525

Tot., incl. other

Maint. of equipm't.

522

7,715
4,598
6,087

rev.

Expenses—Maint.way

4,604

305

_

5,924

200,584
29,793
18,598
4,012
36,959

1,511,165.
375,461
279,157
31,414
511,379

1,435,446

4,963

191,668
44,79®
24,332
5,193
58,748

322,053
225,449
33,736
457,369

131,528
26.805
23,274
2,406
42,947

104,255
31,43©
17,895
2,548
34,826

17,819

11,710

152,107

102,540

1,266,433

1,112,105

101,093

92,210

10.712

2,348

39,561

98,043
171

323,441
7,879

"3035

—72

244,732
8,537

65.

12,044
344

10.712
585

2,519
1,0-10

39,488

98,214
10,711

253,269
71,840

331,220
67.533

30,501
5,986

12,389
5,467

263,687

24,514

6,922

373

373

~

10,127

551
300

St Louis SystemRailway Transfer Co of Minneapolis
Minneapolis & St. Louis
-Month of June— —July 1 to June 30—
-Month of June
July 1 to June 30—
1913.
1912.
1912-13.
1911-12,
1912.
1912-13.
1911-12.
1913.

95,346
10,945
10,134
1,523
20,584

88,604

770,024
108,426
96,818
17,552
285,409

701,842
96,136
93,319
18,997
272,737

9,707,003
1,249,820
1,208,865
215,796
3,784,632

7;954,115

11,725
11,863
2,022
33,570

528,327

500,796

6,707,387

6,174,028

241,696

201,045

2,909,615

1,780,087

—47

—362

—405

Tot., incl. general

12,741

"3^499

50,160

68,414

Net from railroad
Outside operations, net

—5,026

2A24

45,186

20,189

S

J

5

25,478

82,922

166,578

795

16.055

13,823

Tot., incl. other rev
Expenses—Maint.way
Maint. of equipm't.

8,251
3,904
1,679

27.421
5.449

108.417
29,881

633

32,660

186,904
29,630
8,323

125

56

"1,871

25,809

32,699

968,536
137,973
176,253
11,064
232,485

Traffic expenses

Transportation exp.
Tot., Incl. general
Net from railroad

30

3,028

2,999,253
382,242

96.486

96,486
7,602
89.392

Mississippi River & Bonne Terre

Mississippi Central
-July 1 to June 30
1912-13.
1911-12.
$
$
656,354
558,537
188,139
168,132

839

109,921

100,413

173,694

6,980

5,447

11

208,973
1,585

*

89,486

5,898

4,827

16,863

Freight revenue..
Passenger revenue

74,146

97,504

11

41,552

30

—July 1 to June 30—■
1912-13.
1911-12.

82,873

6,470

4,973

2,288

30

1912.

4,926

7,741

2,617,011
1,443,302
1,585 (See this road onp. 31.)

-5,358

of June

186,482
8,595
6,745

620

200,998
27,303

Minneapolis & Rainy River

207,425
7,914
6,716

5,447

241,674
32,700

1913.

280

5,540
.

11,917
1,263

304

925

20,189
3,326

-Month

13,640
1,898

987,086
1,165,078
217,291
3,552,400

5,898

45,186
3,633

Miles of road operated

•

5,732,103
1,709,108

1,779,681
336,379

136

2,424

'

EARNINGS

1,865,957

109,921
9,508

331

—5,026

Taxes

181 #429

87,503

93

7,283,061.

235

Final net

30,219

1,479

500,025
157,438

1,671

exp.

Total net revenue

9,269

554,571
167,256

•;

124

expenses

Transportation

900,087
444,137

73,522
8,534

83,303
3,775

1,707

Traffic

5

59,038
38,920

951,077
479,055

—22

Freight revenue.
Passenger revenue ..I

1912.

158,223
25,671

Minneapolis &

Mineral Point & Northern
EARNINGS

1913.
$
84,869
40,368

$

151,900
28,851

79

117,721

122,951

79

Miles of road operated

-

171

7,325
6,145

Traffic expenses

Transportation

'

July 1 to June 30
1911-12.
1912-13.

$

$
10,235
2,255

$

$

$

$

Midland Valley
Month of July

Memphis Dallas & Gulf
Month

1913.

356,487
22,092

Expenses—Maint.way

125,537
1,305

13,219

43,307
1,934

$

320,254

142.334
1,184

79,659

584

—104

45,754
2,277

Freight revenue
Passenger revenue

364,526

506,861

'

14,830

—July 1 to June 30—
1912-13.
1911-12.

of June

26,207

581

73,658

McCloud River
Month

-12,882

445,791
76,690
53,220
7,233
160,828

168,279

2

1913.

July 1 to June 30—
1911-12.
1912-13
$
$
278,295
.235,299
153,291
141,467

37,168
6,068
4,759

94,660

73,658
7,483

1,402
45,137

62,188
7,723
188,651

t

32,893

94,660
7,968

10,988

2

Miles of road operated

%
,
18.511
12,256

21,431
12,796

Outside operations, net

Tot., incl. other

1912.

$

690

11,559-

647

Net from railroad

.

of June——

1913.

15,660

11,338

5,899

Tot., incl. general

23,993
1,838
74,249

146

7,273

...

exp.

254,321
30,789

22,898
1,466
1,477

25,817

151

Maryland & Pennsylvania
■" Month

July 1 to June 30—
1912-13.
1911-12.

June

1913.

2,426

Tot., Incl. other rev.
Expenses—Maint. way
Maint. of equipm't.

Transportation

25,942

427

1$1.494

Freight revenue.
Passenger revenue.--

Traffic expenses

21,002

670
108

Marshall & East Texas

Louis

of June—- —July 1 to June 30—
1912.
1912-13.
1911-12.

$

2,402

7,958
3,026

102,727

10,045
12,900
8,249
14,404

1911-12.

$

$

97,628

11,042

1912-13.

1912..
*

1,447

834

88.488

July 1 to June 30—

of June

1913.;

$

Tot., incl. other rev.
Expenses—Maint .way
Maint. of equipm't.

Taxes

-Month

1912.

450,493

Transportation

1,445

Manufacturers Junction

—July 1 to June 30—

of June

Freight revenue
Passenger revenue

Traffic expenses

105

$

31,192
11,093

-526

1,988

1913.

1912.

S

31,753

644

Manitou & Pike's Peak

July

1913.

33,959

~—27079

—1,119
105

—Month of

16,918

31,226
7,223
5,835
3,138
13,345

30,999

2,047

Manistee & Northeastern
July 1 to June 30—
1911-12.
1912-13.

EARNINGS

1

18,104
11,670

7,544

350

Miles of road operated

20,551

71,486
60,888
36,176
176,842

12,137

,

1912.

1913.

$

Outside operations, net
Total net
Taxes

—Month of July

1911-12.

1912-13.
%

1912.

5,752
3,892

104,625
51,551

155,889

—July 1 to June 30

July—

1913.

1911-12.
$

1912-13.
S

1,320,767

1,425,427

31,615

Macon Dublin & Savannah

Macon & Birmingham

Co

-July 1 to June 30—
1912-13.
1911-12.

27,011

Net from railroad

235,715

30

324

124,564

Tot., incl. general

22,333

7

-807

151,575
25,728
24,273
5,602
63,598

...

16,883

-1,132

114,307
27.209

Tot., incl. other rev
Expenses—Maint .way
Maint. of equipm't-

218,991
48,150

56,176
4,037

1912.

$

Freight revenue
Passenger revenue

222,484

260,369
52,968

52,138

of June

1913.

'

S

$

14,177
3,943

51,429
4,166

Louisiana Railway & Nav.
EARNINGS

$

487,440

563,506

Miles of road operated

—July 1 to June 30—
1911-12.
1912-13.

1912.

S

$

$

of June

1913.

-699
350

532,742
45,302

613,741
50,235

Taxes

1912.

1913.
$
12,211
4,631

Month

■July 1 to June 30—
1911-12.
1912-13.

of June

1912.
S
116,394
21,182

1913.

$

$

Louisiana & Pacific

Louisiana & Northwest

Louisiana & Arkansas
—July 1 to June 30—
1911-12.
1912-13.

EARNINGS

23

RAILWAY EARNINGS

SEPT., 1913.]

Monthof July
1913.

?

822,762
127,856
158,424
10,642
192,397

'S

1912.
'5

Month of July—
1913.
1912.

—July 1 to June 30
1912-13.
1911-12.
s

54,914
18,168

53,384
15,657

613,536
100,484

78,568
8,279
14,326
1,034
20,029

777,117
86,205
101,905
10,468
256,268

754,609
90,589
95,804
11,258
258,092

40,657
7,878

9,503

10,409

102,300

82,166

610,397

541,332

52,423

48,196

504.342

17,011

6,117

104,738

358,139

281,429

31,363

30,371

272,775

242,226

-1,252
2,788

17,011
1,109

6,117
6.867

104,378

358,139
34,400

281,429
30,200

31,363
3,000

30,371
2,200

272,775
18,991

28,363
164

28,171

253,783

68,791
7,466
10,037
1,045
22,532

39.743

512,382

—1,252

.

54,287
9,493

54,838
10,117
10,530
850
16,811

576,042
92.937

83,787
11,919
16,034
897
19,505

$

$

$

.

45,279

15,094

23,512

242,226
18,524

15,094
1,583

23,512
1,544

223,702

13,511
,64

21,967

,

Outside operations, net

Total net

revenue..

Taxes
Final net

Miles of road operated

—4,040
87




,

15,902
87

-750

-

8,518
96,219

323,739

251,229

(See this road on p. 31.)

164

64

"*

v

24

RAILWAY EARNINGS
Missouri & Louisiana

;

r>

Freight revenue.
Passenger revenue
■!
Tot. incl. other rev.
-

....

exp.

50,049

116,691
14,666
25,649
281
38,844

Tot,, incl. general

102,375

83,949

8,741

Net from railroad
Outsideoperations, net

"27,241

k32>4f

659

Total net revenue.-

27,241
1,503

32,741
1,552

156

25,738

31,189

503
65

Expenses—Maint.way

18,897
26,950

Malnt. or equipm't..
Traffic expenses

Transportation

Taxes

■Month
1913.

'

155

-

—

$
58,894
26,610

64,226
31,651

788,807

956.454

343,156

35,221

413,293
196,471
37,657
489,105

32,346,258 28,186,719

861.385

4.637.747, 4,129,255
4,100,819
3,745,233
755,120
738,927
12,255,845 11,647,572

91.939

1,200,129

945.814

22,808,412 21,205.848

—1,164

36,015

10^46

,250

105,968

T454

-4,317

6

1,907

4,041

w

2,732

99

—4,317
5,807

-1,164
5,022

4,355

-10,124
365

-6,187
365

-26,391

41

151,397
41,543

36,015
62,407

4,454

659

s

Missouri Oklahoma & Guif x;:
July 1 to June 30
earnings

1912-13.

Passenger
A Tot.,

1911-12.

86*6,026

revenue.

891,039
155,921

1912-13.

97,897

55,488
9,693

23,761

exp.

1,078,895
200,976
173,011
63,600
500,021

44,260
414,714

Tot., Incl. general

1,008,083

840,218

Net from railroad
Outsideoperations, net

70,812
5,109

50,821

75,92264,445

54,181
56,890

13,578
6,000

7,070
4,740

-7,410
1,336

11,477

-2,708

7,578

2,329
247

-8,747

rev.

Expenses—Maint.way
Maint. of equipm't..
Traffic expenses

Transportation

'AX.,

V;X Total net

revenue..

,

.....

Taxes

A

Final net

X»
Miles of road operated
,

118,667
12,000

41,310

67,717
13,952
12,209
4,331
25,829

84,773

13,123

172,316

...

3,360«

earnings

1912-13.

1911-12.;

$

Passenger

revenue

X wXQ8

-*■ umm

Mttal

—

m*

10,101 *

-2,526

8,939
1,766

171

96

7,173

-72

-2,622

19

19

62

62

$

173,105

460

3,837

3,445

81,632

73,381

10,343

103,097

84,138

10,343

311

301

103,097
3,209

84:138
3,601

10,042

99,888

80,537

7,271
2,904
1,318

8,922
2,178
878

179,742
34,294
14,372

32,109
3.757

xm* 'win

25,588

62.848

7,235

10,475

105,595

2lfel

17,884

17,951

287,371

3,600

292.982
47,947
129,326
1,931
51,542

38,322

11,389

246,552

134,303

T27733

96,147

13,409

1912.

23,430
1,374

74,267

93,564
5,773

-

Incl, Pitts. & Moon Run merged Jan, I 1913
Month of June
July 1 to June 30—
1913.

694,947

90,974
11,232
17,027

■

.Montour

168,520
3,779

652

14,867

46,430
-1,321

153,067

430

1,726
'

145

174

58,912
16,581
345

265,477

l2i7,482

16,706

30,715

36

-1,553

73,791

787882

265,477
23,589

217,482
21,840

16,706,
2,686

30,715
2,024

36

344

-1,553
374

73,791
4,297

78,882
3,753

-13,007
1,170

14,867
\ 500

45,108
9,140

153,067
7,875

195,642

14,019

28,691

—308

-1,927

69,493

75,129

32

-14,177

14,367

35,968

32

145,192

18

18

—274

mmj*

-

.

6

revenue

1912.

other

X' 171,343

65,172

271,604
44,554
29,004

263,576

i4,-« tyKfvV

revenue"»

'^.TjotU Incl.

49,365
14,489
7,469

5,686

S

-

391,581
60,659

•

644,873

6,048

1911-12.

1912-13.

6,207

6*1,567

'

7*1,875

91

105

3,119

1,525

6,236
2,138
3,109

6,699

66,555
19,053

77,117
22,224

7,134
275

266

12,579

12,049

79,964
2,972
149,300

206,390

185,478

37,683

35,125

366,689

285,205

8,614

6,753

05,043

to,015

65,214

78,098

9,147

14,240

178,184

205,832

-2,377

"53

TSI2

7,101

55,214
LI,950

78,098
8,342

9,147
2,627

14,240
2,329

178,184
30,288

205,832

-2,377

-53

1,512

28,953

150

150

1,500

69,756

6,520

11,910
132

147,896

,176,878

-2,527

-+•203

12

908

-

X/

3,860

!

53,264

v

45

.

;;

X.;-

137

v+

■

^Nfovada-California-Oregon
June

Nevada

July 1 to June 30—
1912-13.
1911-12.

1912*

S

26,928

121,623

2,043

6

1.587
3

2,827

2,519

50
24,014

A.A 106
26,003

30

County Narrow Gauge

of June—

1913.

~ *
*
-July 1

1912.

15,580
V-

$
4,015
6,964

64,246

10,945
2,137
1,549

129,365
24,034
14,192

58

131

905

10,875
6,033

-

-Month
1913.

$

V

5,601

30-

Nevada Northern

'
to June 30—
" 1911-12.

1912-13.

965

210,761
142,912

403,929

46.701
11,167
5,437

—Month

$

225,575
143,586

286

33,636

bfcher rev
Expenses—Maint.way

46,831
16,751

1912.

$

$

443,239
62,235"

1,658
750

-■Month Of
1913.
S
18,897
12,192

revehue.X..

$

1913.

-

45

,A

$

39,488

Month of April— —July 1 to April 30—

1911-12.

24,445

i

21,621

3,194

EARNINGS

S

Natchez Columbia & Mobile

July 1 to Juiie 30—
1912-13.

37,449
6,141

42,922

118,148

3,194

i'i'L-ti

June
1912.

3,821
103,172

381

10,627

;

net

of

491,037
82,180
55,634
3,484
130,496

/

.

^

3,194

Final

$

Marquette & So'east

1,658

V

net

Miles of road operated

—Month
1913.

167,640

65.447

4,112
2,841

20,959

net revenue..

"*

6.495

*

24,154
3,231
3,259
A
270
10,507

exp.

Munising

to June 30—
1911-12.

23,280

6,035

rev

1912-13.

$
2,954

15,067
...

July 1

June—

of

Total

Passenger

8,230

32,807

9.297

$

37,264

■Month
1913.

Net from railroad
Outsideoperations,

Slight

$

'

144

^A Tot., incl. general

:

-July 1 to June 30—
1912-13.
1911-12.

1912.

958

1;

Transportation

•

of June

445

29,743

8,985

Montana Wyoming & Southern
1913.

1,861

20,787
7.086
!

9,297*

-2,526

83
1.687

Maint. of equipm't.
Traffic expenses

<•-

98

300

revenue. «. *.

Taxes

455

40,679

Expenses—Malnt .way

J,

33

300

$

.

30,483
7,542

37

845.979

Earnings

AX .Tot., incl.

Cr335

176

98

Montpelier & Wells River

—rr_D—>

3,602

170

'8,939

$

Miles of road operated

Passenger

1,973

1;.

241,888

m m

—

469

42,911

<

exp.

revenue..

net

11,895

157,519

175,030
22,007
14,177
1,023
29,387

Net from rAilToad
Outsideoperations, net
Total net

A 13,595

"184:729

912,430
75,754
139,988
3,606
435,356

Tot,, incl. general

+..r

983

13,789

1,111,457
100,083
182,306
3,606
520,165

Traffic expenses

Transportation

1,129

19,399
4,395
1,227

-7,410

1912.

13*6,432

286

6,030
1,116

434

$

1911-12.

16*3,617

12,082

521

539

Maint. of equipm't..

1*7,718

8,006
540

6,478

Tot., incl, other rev.
Expenses—Maint.way

1912-13.

$

2,819

...

vy

July 1 to June 30—

1912.

8,557

1913.

36

..

of June

3,235

-Month

3,816

.*

Missouri Southern
Month
1913.

77907

Monongahela Connecting

freight revenue...

101,200
425,730
3,398

91,431

332
*

106,997
615,747

126,078

<

525,579

A 1,351
'526,930

1,060,181

4,686

454

1,757,851

8; 194,317
5,885,362
(Seethisroad on p.31)

1,945
72,704

31.839

v

974,044

722,745

6,635

14,188
5,654

429,948

1,923,603

6 >945,544

61,082

17,327

v

9,482,22 r
1,287,903

5,700

'

353,040
63,793
839,062

61.020

732,405
—9,660

$

1,370

318,717

—35,325

100,371
11,856
14,087
1,898
56,479

—July .1 to June 30— -—-Month of July—

,

S

95,810
3,751

2,283:431

6,980,870

—Month of July--—
1913.
1912.

1911-12.

$
112,559
4,966

S

7*1,513

715,089

2,656,009
483,779

9,537,846
—55,625

Ry Co of Texas

July 1 to June 30—•

1912.

1913.

74^,237
114,942

176,223

revenue

Incl. other

Mo Okla & Gulf

-Month of July

'

862,493

•

.

60,067

-49,427

1,43*1,454

1,610,746

18,1
8,220,408

9:402,966

10,640

*

Final net
Miles of road operated

Month of July
1913.-1912.

*76o5

668,571
'315,895

3,585

41

20,91*2,978

369,528

1,236,144

90,774
34,362
14,864

11,704
1,390

Missouri Kansas & Texas System

-July
to June 30— —July 1 to June 30—•
1912-13.
1911-12. *•
1912-13.
1911-12.

1912.

101,651
30,092
18,333
2,957
49.173

9,401
1,535
2,784

...

of June

*

'

129,617 "

,

,

Missouri & North ArkahSa*

July 1 to June 30— -—--Month of Jiily£1912-13.
1911-12.
1913;
1912.
S
$
123,215
110,475
11,224
8,671
5,616
343
605
5,344

earnings

Of June

-July 1 to
1912-13:

1912.

S

June 30—
1911-12.

1,42*8,072 1,33®

124,619
12,817

130,027
13,924

173,891

140,697
18,096
18,802

TiejW

37,956

28,771

1,644,588
186,439
195,259
4,593
365,041

i,509,862

39,191

122,071
24,655
16,887
812
29,847

98,135

91,766

69,595

66.346

797,533

710,662

58,361

56,850

•

55,557

*;

13

exp.

7,935

10,756

45,828
9,206
113,685

386,590
98,264
45,708
7,629
86,705

A..; Tot., ihcl. general

~wm

3O4IOI

283,632

261.745

Net from rallfoad
Outsideoperations, net

13,712

16,600

120,346

—176

—4,206

—359

124,844
1,139

3,663

428

31,230

30,304

71,101

80,451

847,054

799^00

J- Total net Revenue..

13,535 "

3,663

1,570

119,987
18.841

125,984

;
-.Final net
Miles of road operated

17,028
Cr 1,196

—4,206
53

31,230

30,304

71,101

847,054

799,200

6,360

5,760

7,888

80,451
11.583

11,965

18,225

3,133

—1,736

24,870

24,544

03,213 ^

68.868

20

20

6,542
2,339

Maint. of equipm't.
Traffic expenses

Transportation

Taxes

v.

823

...

.s

668

.

101,145:
237 (See this road

237

-

1912-13.

1911-12.

^ .Toti, incl. other

s
...

:

1567687

rev

Expenses—Maint .way
Maint. of equipm't.

96,591

10,405

11,011

3,268

—208

-3,483

-14,523

4
Final net
Miles of road operated

596
..

-

Freight

—208

-3,483

1,087

500

<—21,567

-2,610

-1,295

-3,983

102

82

of June

July 1 to June 30—
1911-12.

1912*

1912-13.
$

3,442
1.113

5,097
545

92,674

Maint. of equipm't.

1,416

8,598
4,208
1,710

Traffic expenses

Transportation

Tot., incl.

3,862
226

2,217

general

8,440
1,834

* Total net
revenue..

,

1,834

X

.

StXCS.

w

M

m

m m

mm

mm

v Final net
X
Miles of road operated




-

8,812
—214

—214

19,956
3,884
76,491

1,084,966

134,464

129,824

728,019
: —720

550,315

31,609

46,022

—860

—46

—31

727,298

549,455

<26,757

21,423

31,563
7,405

45,991
4,646

24,158

41,345

403

547

-

700,540
282

1911-12.

1913.
$

1912.

1912-13.

145,529
488,177

135,228
20,369
12,377

7,835
1,784
1,251

39,044

99,508
44,582
12,219
1,132
39,720

156,604

130,014

121,419

91,116

-6,933

1,511

—13,929

15,515

-21,910

44,111

901

—1,413

44,137
16,459
2,101
30,273
-

—13,929

35,597
1,021
>:

125

4,274

-339

—18,204

13,416

29

29

-21,910
11,094

33.005

413

-47,150

A

i'

H.470
32,640

A

2,002,728
327,611
215,351
40,216
693,521

1,761,974

1,372:467

i

728,

!AI =1S1

727,043

629,642

69,454

53,000

657,589

•576,642

•

Pennsylvania
Month of July—
1912.

1911-12.

1913.

66,176
26,725
162
446

63,145
26,359

3,788
2,377

4,142
2,509

98,164
25,149
10,211

6,644
2,681

7,354

496

3,446

1,161

481

25

3,173

901

44,111

340,778

383,972
261,653
43,761
972,333

101,452
33,869
9,457

98

22

\

355,484

2,490,052

$

2,980
3,868

1,534

<X\.

531,905

New 6rl Southern & Grand tsle
New York &
—July 1 to June 30— —Month of July—July 1 to June 30
1912-13.

"
1911-12.

13*7,985 lV98*7,464 1,54^,592
26,340

80,091
47,192

•

15,515
2,099

300

12*4,712

1912-13.
2-13.

1,073.324

.

730,835

July 1 to June 30—

1912.

175,847
31,842
14,772
6,886
68,418

f

49,968
41,752

2,382

Net from railroad
Outside operations, net

-

66,488
1,750

1913.

1,175,308

113,855
6,062

8,306

90

exp.

77,048
2,371

68,365

769,705

165

30,251

•

—70

1,676

318,107

77,349

-

of June

166,073
24,410

$

32.492

10,274

revenue

•

~

£40,777

66,558

282

Tot., incl. other rev.
Expenses—M aint. way

revenue

78,897
"\

Month

1,635,282
234,046
219,611
,30,231
520,904

£63.230

11,304
21,034
<2,378
43,684

74,676

-Month
1913.

.

1,801,343
265,124
165,601
29,788

.

—81

3,268
5,879

S

Passenger

.

-14,523
7.044

New Orl Natalbany & Natchez
Earnings

145.456

165,856
179.652
^

New Orleans Mobile & Chicago

$

1,300,518

77,129
;

5

103,104
32,569

84,685

135,210

X Total net
revenue..

32,759

284

general

Taxes

995

7,528
5,238
1,878

117,307

3:043

Net from railroad.
Outside operations, net

Tot,, incl.

6:374

298

44,057

165

j

4.821

'

,

of June— —July 1 to June 30—
1912.
1912-13.
1911-12.

161,815
19,925
9,142
2,305
45,337

11,170
4,883
64,693

<

.

'

10;196
3,548.

-7 ,065

exp.

Transportation

:

$

^

404

,

w

.8,093
1,764

99,860
33,679
7,907
3,790

45,516

Traffic expenses

530
.

-

17,110
16,227

413

,

New Orleans Great Northern

1912.
1

91.672

2,337

15,151

-—Month
1913.

A-.

102,308
:
15,884

8,964

18.841

1913.

,

Freight revenue.;
Passenger revenue

17,670
1,461

14,006

107,143
on p.- 31.)

NeW Iberia & Northern
July 1 to June 30— —-Month of July-

Earnings >*•

,Uj "JT.

88,974

*

—1,413

1,100

924

—198

—2,337

59

59

42,187

''

*

94,943

*"<

8,983

.UL:

51".763

92,469

A-

"

'

3,220

8,983
3,056

3,220
3,164

5,927

56

2,486

'

6,896
,

—252

6,983

..

-.242

—495
56

371

\;if

—252
<-

"2",473

.

'*

371

-

242

/

128

56

Sept., 1913;]
.it

5

Norfolk &

EARNING^
jj'Tcfri.,

<lr

*

.

.

,966
a .,077

19,678
2,437

1,991

1,567

236,549
24,679
23,204

exp,

7", 698

"7,305

94,586

Tot., Incl. general

13,725

12,252

164,334

'

Net from railroad.
Outside operations, net

TMl

TM5

72,214

<

.Total net revenue—
Taxes

5,241

incl. other

rev
Expenses—Maint .way
Maint, or equipm't.

Traffic expenses

Transportation

37,58^,023

;

3,579,849
497,970
659,980
50,129
989,702

3,845,726
481,195
762,797
54,852
1,182,910

3,334.756
396,824
438,323

496

5,980

4,744

6,910

66,234

65,721

13

13

1

2,122,216

1,899,466

1,287,677
—2,115

1,313,650

1,212,539
—11,426

1,149,727

-3,383

1,310,266

1,201,113

1,140,932
80,354

1,060,578

80,165

—20,409

14,045,397
1,410,00-)

1,285,561
125,000

120,000

84,719

1,160,561
2,034

1,190,266
2,018

.1,116,393

Northampton & Bath
■Month of June—
1912.

$

89,334

89,374
-

.'..i'4-335

1

88,998
9,209

-

79,789

v

of June

—July 1 io June 30—'

1912.

105,692
201,481

1,419,768
2,016,551

1,347,692
1,892,650

3,499,099

2,563,618

1912-13.

$

1911-12.
S

$

•

Freight revenue
Passenger revenue

11,747
379

332

149,677
28,161

14,548
3,593

4.237

3,468

20,526
1,155
2,226

2.691

245

159,509

165,172

3,930

Vo.535

187

.

3,812

115,078
215,965

193,156
14,947
30,941
2,517
116,799

1352,850
51,619
39,503
4,645
119,884

326,913
79,733

exp_

6,508

3.968

15,087
2,857
66,825

43,912

.10,359

11,107

208,658
19,124
38,605
2,813
137,343

110,328

3,709,765
532,888
500,233
45,670
1,360,625

Tot., incl. general

17,073

10,351

132,004

94,761

17,970

14,940

201,499

168,529

229,056

242,424

2,594,844

Net from railroad

-2,735

*1,018

62,915

54,915

-37422

5,586

TOM

24,627

123,794

84,488

1,114,921

Outside operations, net
Total net revenue-

-2,735

62,915
3,809

54,915

-3A22

~5J>M

309

1,018
580

3,330

260

276

7,158
3,124

24,627
3,317

123,794
12,865

84,488
12.579

1,114,921
152,647

-3,044

437

59,106

"61,584

-3,682

6,310

4,034

21,309

110,928

71,909

962,274

77

77

7

7

400

401

other

~

14,338
2,309
6.443

11,369
3,146

194,920

484

242

rev.

Expenses—Maint .way
Maint. of„equipm't_

261

Traffic expenses

Transportation

Taxes

_____

:.■' Final net
Miles of road operated
_

32,010

Northern Pacific
Month of July
—July 1 to June 30—
1912-13.
1911-12.
1913s
1912.
52,270,685 43,793,521
3,929,059
3,768,764
16,808,035 16,343,752
1,740,716
1,591,692

EARNINGS

Freight revenue--!
Passenger revenue
<

Tot., incl. other rev 72,676,138 63,423,946
Expenses—Maint. way 19,188,053
7,861,490
Maint. of equipm't.

6,072,500
1,272,298
732,968

'
-

92,462

112,625
1,793,978

5,750,356
961,224
773,943
115,608
1,713,773

70,959
16,341

19,145

316,188

299,222

3,454

—120

316,188
45,294

299,222
37,446

3^72

6,196

253

16,302

270,894

261,775

3,019
19

19

1,782,936
6,312

1,830,557
6,031

>21,206

Freight revenue
Passenger revenue
Tot., incl. other

rev

216,690
83,168
33,717
1,068

193

**

1,180

"4,780

■

2

2,703

29,Oil

31,794

5,654

5,249

55,510

60,246

41,411
—1,597

15,288
11,173
2,715

1912.

%

200

40,
2.

5,996

37,148

38,177

Ouachita & Northwestern
-Month

of June

1913.

s

—July 1 to June 30—
1912-13.1
1911-12.
%
S
14,788
181,845
157,329

1912.

'

S'

JR

'

■

*

11,877
3,916

<6.663
3,347

230,310

51,019

48,346

16,558
5,186
4,437

16,407
6,749
2,519

41,165
—587

39,813
2,665

'

■July 1 to June 30—
1912-13;1911-12.
r,
$
f'f •••

of June

111

2,854

Oklahoma Central
Month

1913.

11,997
11,695

550,232

193

...

lOMll

283,745

-

~

Month of Jul
July—
1913.
"
1912.
t
$
>5,849
5,749
6,943
8,965

192,332'
65,158
23,592

•

11,509

44,702

Ohio River & Western
July 1 to June 30
1912-13.
1911-12."
$ V
$ '
'
81,706
68,098
107,891
99,987

78,819
11,550

11,865

6,316

—182

),145
>,842

2,142.223
311,666

EARNINGS

96,921
9,571
12,121

25,824

*2,097,521

2.120.546
337,609

-

11,565
1,025
1,119

9,109
1,225

25,824
4,618

"^076,981

28.311,660 25,578,180
3,739.079

73,718

888

849,455
134,733
99,178

1911-12.

9,289
1,025

611,779

i. Total

1

% ,097

51,813

28,002,840 25,265.429
308,820
312,750
1,990.028

\\U,

S

21,161

Net from railroad
Outside operations, net

24,312,632 21,839,101

935,481
-.143,175

792,306

1912-13.

$

66,637

3,652.834

Taxes

:«s.48i
u

to June 30—

ly
July 1

1912.

25,779

3,995,518

i Final
net __;
Miles of road operated

641,869
486,384
43.544
1,276,493

V

of June

631

44,673.298 38,158.517

'

Month
1913.

693

Tot., incl. general

43,564

5,020

927,968
165,153
116,913
' 6,543
295,852

22,378
15,526

Traffic expenses
Transportation exp_

_

37,744

Norwood & St Lawrence

Minnesota & International
Month of June—
■July 1 to June 30—
1913;
1912.
1911-12.
1912-13.
69,616
*639,890
562,432
46,275
231,044
234,201
17,363
19,996

8,532,671
7,207,716
1,309,800
1,202,292
23,569.379 20,756,386

net revenue.

"

P acific System

-Northern

;

562

^

s

1913.
$

1911-12.
$

1912-13.

$

164,363

166,597 1,

Northwestern Pacific

■Month

—July 1 id June 30—

—

1913.

•

569
;

r

•

253,698
29,408
32,961
A,866
83,174

255,972
29,801
33,580
4,528
86,122

—8,794
'

152,969
■73,487

?

89,374
9,209

59,366

•

14,065.807

-Month of June— —July 1 to1 June 30—
1913.'
< 1912.
1912-13,
1911-12.
II
$
H
H
9.973
<
7,697
141,158
105,808
3.207 •
2.819
45,072
38.176

148,076
78,247

1,059,470

■-

15,166,499
1,452,000

71,812
6,090

1912.

1913.
...

3,049,194
345,749
368,679
56,671
978,822

13,714.499 12,635,397
(Seethisroad on p.31)

72,214

1911-12.

2,104,429
711,382

-

16,174,107

71,812

North & South Carolina

Tot., incl.

427,120

■

2.558,049 <2,266,199

,

137,306 28,565,812 25,669,429

7,425
X 515

—

*'

1912-13.
2,264,313
795,581

3,031,269

3.264,757
446,529

-•

—7,608

,-i
Miles of road operated

v

Norfolk Southern
Covers fine operated by steam only
Month of July:
July 1 to June 30—

19§2.?

.•

%

"4,342,452

209U19 43.739.920 39,735,237
1 32,152 : 5,542,960
4,816.377
18,992 ,8,336.631
4,676,464
•
691,557 '■
639,935
75,322 13.192.921 11,771,799

-

—

Final net

EARNINGS

1913.'

34,021,572

4,715,293

:

■

tvi-i*7
-^Monfh of July-—

-July 1 to June Zp1912-13.
1911-12.

—.

25

Norfolk & Western

Portsmouth Belt Lin®

of June-— —July 1 to ntine 30^1912.1
1012-18.
1911-12.

Freight revenue—Passenger revenue

EARNINGS

RAILWAY

10,814
12,098
2,143

259,545
95,895
37,115
6,807
80,858

15,327
3,042
275

250

5,093

3,836

15,312

,201,904

947

253

51

429

678

exp.

57,257

51.866

4,302

4,083

6,427

6,718

292,429
94,277
45,093
6,996
85,877

3,460
55,139

157,475
35,589
21,173
2,592
39,954

Tot., incl. general

183.460

152,930

19,268

14,350

TT935

23,077

250.315

238,441

12,007

9,678

124,275

101,779

Net from railroadOutside operations, net

33,230

39,401

-3,980

2,056

—1,377

—12,263

'42,113

21,103

3*320

5,119

57,736

557693

Total net
Taxes

revenue-

33,230

-3,980
779

2,056

-1,377
2,110

—12,263
1,628

42,113
20,987

21,103

3,320

5,119

19,556

170

264

57,736
5,107

65,695

10,831

39,401
10,125

Final net
Miles of road operated

22,399

29,275

-4,759

1,211

21,126

1,547

3,150

4,855

52,628

53,561

111

-3,487
135

—13,892

111

63

66

Expenses—Maint.way
j

Maint. of equlpm't.
Trafflc expenses

Transportation

_

*

'

:

•

845

Pacific & Idaho Northern
■Month

EARNINGS

Freight revenue.
Passenger revenue
Tot., incl. other

of June

1913.

;
_._

*9,081

-X),560
6,189

1912-13.
$

Expenses—M aint .way
«
Maint. of equipm't.

1911-12.

$
122,703
74 ..581

114,107

7,139

68,938

6,600
5,127
2,781

18,126
5,859
1,572

1WJ85

536

rev.

422

exp_

3,159

3,059

Tot., incl. general

12,267

11,357

4,333

6,768

Total net revenueTaxes

4,333

6,768

_

Final net

_________

600

500

3,733

6,268

Transportation

of June-—-'
1912.

2,211

1,425

57,720

23,500

427,828

104,934

4,381

2,471

42,650

-31,486

-3,617

—151,239

—16,640

2,203

763

37,475

80,104
5,874
'74,230

-36,916

70,830
41,457

937,647

880,812

19,364

145,796
"98,897

130,430
93,874

...

-151,239
25,850

9,000

125

•177,089

1,500
-5,117
112

-16,640

—25,640

2,078

21,716
1,250

17,517
'1,498

1,810

1,693

225,513
31,218
28,145

9,794

9,176

128,264

13,675

13,582

200.194

200.627

6,122

6,896

157,711

87

483

'

■163

185,998

8,041
8,041
989

,3,934

7,052

;

3,934

185,998

-

2,891

!

18

52,311

Allegheny & McK Rocks
of

v-—
June—

1912.

—July I to June 30—
1912-13.

•

133,687

18

Pittsb

1

589

1,043

—.17.442

167.558

1911-12.

17,414
,1,686

14,769
2,366
1,269

.196,636

'20,928

Maint. of eduipm't.
Traffic expenses

1,036

Transportation exp.
Tot., incl. general

*8", 862

7,065

1911-12.

1913.

1,860,081

1,356,711
101,840

166,189
12,092

13,386

170,425

^T02§

1,383
255

141,558
15,159
14,997

_*_

Final net

-

67

2.003,276

1*482,649

180,472

174,249

'46,814
43,239
1,235

126,594
*20,156
32,823
-"1,372

*3,097
876

66", 414
129,663

1,506,828

1,012,612

11,894
1,328

496,448

470,036

26,601
7,829

~lM9

-2,220

1,091

1

1




344,025
449,972

13,931
647,210

13,223
6,171

496.448

18,772

L051

477,336

26,210
•

547
'

<391

-

1,087,082

?■

-

574,249

3,267.624
—75,176

160,248 ■i
—^4,146
156,102
49,787

2.524,743

2.988,440

-106,315
v
2,324

k
-5,388

1

158,859

21,613

>

'

1912-13;'

«

^

318,447
8,132

320,580'
56,941

•*■

^69,639

1:8,561

249

481

H

9,138

-30,956

32J328

110,758
25,269

1.633
514

3,169

95,638

'

5,346

21,613

*—2,628

30,956

*

19.111

1,610

451.171

1
•

.

" *
•

1.587

20,003

29,368
--279

--279

•

a

3,215

431

139

—3,059

"3,076

41

41

:

-94,970

^3,215

-

u

22,271
18,585
4,352
31,834

84,713

15,787
•*i' A

470,036
18,864

88,419

19,232
3,036
38,163

1,987
=

%
76,960
6,090

97,343
'6,439

524

6,510
•2,409
2,657

1911-12.

$

7,509

514

37,126

62,466
v-

1912.
S

1813;)

1.912.

%

321,924
13,034
450,451

~

1,405,629
188,674
248,408
35,534

$

3,102,447
667,704

555,241

-

114,370
10.121

1912-13.

119,754

ioi~aix

14,385

Net from railroad
Outside operations, net

15,815

837,009
442,987

1,205,674

3.500,333

13,863

1912.

795,970
441,038

13^08,803

2,804.938

3.543,682

15,289.

of July

1913.-

12
12
'2,330
Pittsburgh Shawmut & Northern Prescott & Northwestern RR Co
Month of June—
JulyX to June 3C^°
-July 1 to June 30—
Month of Jul

'

Miles of road operated

.6,576,427
2,064.890

—Month

13,906,421

-2,153

:i»

Marquette

423,916
7,707,864

-2,153

.'

27,777

1.365,922
310,811
239,216
34,254
584,248

25,319

110,841

2,908

revenue

_

29,749

:; re .TO

2,987,155
400,346
7,146,827

2,944,517

851

29,749
1,971

17,406.754

25,319
11,456

.

$

14,533

663

0,;

24

43,349

—■Month
1913.

Total net revenue.

<

16,587

35,925

100
:<

37

Pere

694,814

,

7

'

rev.

11,218
1,923

37,475
1,550

763

2,203

.

424,646

142

226,340

.

94

711,307

226,340
68,628

i

147

423.281

33

11,120
4,224

-----

501

60,303

>

13,054
6,931

Taxes

_

198,473
22,116
24,625
;1,406
137,058

6,858

„

Total net revenue..
Taxes

Tot. i incl. other

501
185

30,383

16,400
8,838

11,120

Expenses—Maint.way
«

'

956
390

•

Peoria Railway Terminal

100,289
48,737

13,054

Passenger

88,293
58.431
.5,160

Month of June— —July 1 to June 30—- —July 1 to June 30
1913,
1912,
1912-13.
1911-12.
1912-13.
1911-12.
I
$
$
$
%
5,839
4,750
52,768
55,149 11,941,887 11,255,766
7,351
7,679
89,806
74,639
4,007,650
4,045,587

1911-12.
%

%

Net from railroad..—
Outside operations, net

*

—3.617

5,430

.

62,473

!

276,589
244,847
27,264
6,156

437
199

-31,486

71,424

75,627

~

_

33,755

revenue

36,393

37,963

§Cl04

1912-13.

exp_

EARNINGS

66,143

131,147

—July 1 io June 30—
July

~

Tot., incl. general

Freight

'3,234

8,292

•

112

$
6,079
3,544

3,843

Final net
Miles of roaa operated

6,585

46,511
16,322

12,720

89

*1M2

Maint. of equipm'tTraffic expenses

'1,273

59,401
16,539

133,534

51,814

89

I9l3,i

.

f-

1,953

1911-12.

3

*1,633

49,319

69,494
7,680

-Month

Toti, Incl. other rev.
Expenses—Maint .way

1912-13,

1912.

4,328

V

80,125
11,814
4,078
1,648
19,204

Peoria & Pekin Union

Freight revenue
Passenger revenue

of June— —July 1 to June 30—

,3,748
■

2,134

■■■M

Miles of road operated

EARNINGS

37,583
23,006

26,233
25.378
13,987
3,447

69,494

Net from railroad—_
Outside operations, net

.

■Month
1913.
5

*

19,882 '
13,693

182,012

Paris & Mount Pleasant

June— — July 1 to June 30—
1912.
4 1912-13.
1911-12.
$
$
$
9,110
131,550
36,316
130,333
9,547
45,758

13,137
11.977

••

138,290

Transportation

135

Railway & Navigation

$

213,639
61,457
19,554

64,070
21,046
5,331
50,588

Traffic expenses

Pacific
Month of
1913.

—July I to June 30—

1912.

?

14,797
3,487
1,907

3,259

•

3,706

Jk £

-.^<15,787 ""&U .*8,7
3,712
8,44
•

-

12,074
I' :

'>1
* f

**«;257
.*■

J

.

y.s

I

RAILWAY EARNINGS

26

Pullman Railroad C
of June
July 1 to/June 30—

Quanah Acme & Pacific
Month of
1913.
$
13.942
2,456

Month

EARNINGS

1913.

1912.

$

S

1911-12.

1912-13.'
I

Freight revenuePassenger revenue
Tot., incl. other

1912.

1912-13.

—July 1 to June 30

1911-12.

1912-13.

185,192
24,987

984

140,421
15,184

168,813
12,983
14,014
2.718
39,549

535,708
120,596
42,811
5,063
169,961

__

13,284
1,262
1,080

238
4.362

3,498

224,621
19,620
13,933
2,561
47,016

9,879

7,461

102,794

87,954

366,435

7,663

5,822

121,827

80.858

15,460

_

7,563
450

5,822
430

121,827
6,002

80,858
5,134

169,273
9,436

7,113

5,392

115,824

75,723

159,837

28,669
11,155

38,557
10,854
4,730

169,273

42

7,468

41,442
12.770
3,082

42

Net from railroad.-

------

171

■

1912.
*

26,672
10,098

88,888

Tot., incl. general

1913.
f

393,121
119,178

11Q}794

223

u

Transportation exp.

Month of July

1911-12.
S

I

11,377

xcvh.

Raleigh Charlotte & Southern

June— -—July 1 to June 30—

17,442
2,581
1,045

208j683
9,524
22.354
2.684
79,773

15,389
1,306
5,718

rev.

Expenses—Maint.way
Maint. of equipm't.
Traffic expenses

[Vol.

No

figures
shown.

930

11,388

33.280

~

481

14,739
-

28,810

5^277

12,632

5.277

Outside operations, net
Total net revenue-.
Taxes
Final net

"

—7l
3,522

88,888

9,022

——

-

79,866

—3,593

Miles of road operated

'■

13

13

Month of July

—July 1 to June 30
EARNINGS

1912-13.

—Month Of
1913.

1912.

1913.

1911-12.

June

1912.

...

Tot., incl. other rev
Expenses—Maint .way

18,883
891

32,147

27,033

351,380

8,480

19,603
994

877

1,036

10,610

21,729
2,484
1,668
230
5,526

21,089
2,958
1,687

33,796

29,275

915

3,911

.3,588

3,462

380,509
9,367
36,305
1,386
40,673

216,782
9,588

'213,183

241,206
30,956
28,336
3,219

exp.

61.112

235,811
33,583
22,184
3,293
59,546

Maint. of equipm't.
Traffic expenses

Transportation

„

196

125

3.688

247

5,178

2,823

Reynoldsville & Falls Creek

1912-13.

1911-12.
$

8
:«

363,454
10,863
32,297

90,149

•

1913.

'

'

87,951
19,689
7,603
476
24,520

,

f1912.

$
7.442

86,145

92,584
18,714
9,208
1,329
23,581

987

38,857

221

—J.—

—July 1 to June 30— —Month of July

1911-12.
S
335,162
12,646

1912-13.
$

$

$

Freight revenue
Passenger revenue

:

July 1 to June 30—

11,879

241

Ray & Gila Valley

Raritan River

1,000

12,632
753

4,277

......

'

$

6,637

,

7^563

6388
2,018

1,636
485
37

719

2,041

39
1,919
5,104

Tot., incl. general

141,732

136,253

11,365

11,526

8,840

10,695

94,642

86,803

57,956

57,680

4,572

Net from railroad
Outside operations, net

99.474

99,557

10,363

9.562

24,955

18,580

285,866

276,650

34,628

"SO,270

£.991

1,784

Total net revenue..
Taxes
........

99v474
9,911

99,557
9,841

10^363

24.955
2,545

18,580

276,650
3,143

34328
1,128

30,270
1,128

1J84

350

285,866
9,097

2391

850

9,562
830

94

94

Final net
...
Miles of road operated

89,563

89,715

,9,513

8,732

22,410

18,230

276,768

273,506

33,500

29,142

2,897

1,690

6

6

25

25

.

"

1

'
,

22

21

,

Richmond-Wash

1912-13.

Month of July
1912.

1911-12.

1913.

1912.

1,587,992
1,017,603

1,335,360
943,510

134,207
71,635

142,092
66,817

478,r96

421,646

499,181

461,853

2,575,535
330,850
309,669
35,072
929,165

234,396
24,946
26,206
'
3,060
83,153

237,615
27,116
26,253
2,961
75,077

1,318,389
173,191
160,943
15,110
512,987

1,181,470
159,779
155,539

exp.

2,968,612
325,856
322,696
36,653
1,044,403

Tot., incl. general

1,812,001

1,675,32^

144,121

137,260

Net from railroad.
Outside operations, net

1,156,610
—3,433

900,214

907274

1007355

—.

—288

—2,241

...

Tot., incl. other

rev

Expenses—Maint.way
Maint. of equipm't.
Traffic expenses

Transportation

Total net
Taxes

'

15,229
451,306

897,137

814,691

7i,743

;

"421,252

.

366.779

29';914

366,779
38,883

29,761
3,519

Final net

327,895

JS

94,647

699

10,204

105,825
8,668

7.491
604
2,927

112,152
15,270
33,144

122,957
20,013
24,945

9.232

~

900,214
10,183

89,986
7,908

100,355
714

890,030

82,077

99,641

378,345

87

1*718

~~2~, 213

19",764

18",449

67,714

8,394

6.938

81.067

76,231

34,104

837

553

31,085

46,725

34,104
3,172

837
340

553
359

31.085
4,434

46,725
4,314

26,242

30,931

497

194

26,650

42,411

35

1,153,177
49,309

35

33

83

Miles of road operated

1911-12.

S

6.519

—152

419,010
40,664

1,103,867

revenue.

101,818
12,244
11,932
1,251
39,449

1912-13.

$

2,752
2,709

32.862

101,657
12,642
13.932
1,293
40,988

July 1 to June 30—

1912.

$
7,779
1,039

42,824

39,637
35,643

of June

1913.

1913

1911-12.

1912-13.

Freight revenue
Passenger revepue

—Month

Washington Southern
-July 1 to June 30-

Month of July

—July 1 to June 30

Rio Grande & Eagle Pass

ington System-

Richmond Fredericksburg & Potomac

EARNINGS

c

'

•

28

-Rock Island SystemChicago Rock Island & Gulf
of June
-July 1 to June 30—

Month

EARNINGS

3,351,882
1,667,571

124,159
1,233,250

323,834
277,082
122,234
1.051,704

6,133.475
854,931
770,816
158,136
2,145,650

2,187,524

1,873,477

4,061,480

3,119,390

1,208,449
—8,166

969,520
—3,220

2,071,995
—2,448

64,757
7,934

69,125
8,122

1,200,283
88,743

966,300
84,683

2,069,547

56,823

61,003

1,111,539

881,617

476

476

1,831,586
7,572

1912-13.

1911-12

170,535

148,649
50,539

2.487,099
697,266

2,025,250

54.036

214,616
12,756

3,395,974
376,244
357,132

2,842,997

exp.

242,458
27,851
33,134
10,238
97,538

92,773

Tot., incl. general

176,546

145,185

Net from railroad
Outside operations, net

UMl

.;

_

Tot., incl. other

rev

Expenses—Maint.way
Maint. of equipm't.
Traffic expenses

Transportation

Total net revenue.
Taxes

.

...

Final net
Miles of road operated

20,273
11,428

63

615,988

(See this road

Rock Island Southern
July 1 to June 30

on p.

32)

.

Freight revenue
Passenger revenue

1913.-

1912.

$

S>

S

1912.

1912-13

1911-12.

42,596
16,453

440,586
205,647

5,862,303 67.968.960 61,871,392
508.602
9,509,079
8.169,511
553,835
9,715,721
8,025.384
142,974
1,874,978
1,859,164
1,788,793 27,539,336 25,158,797

57,830
9,631
6,188
1,771
37,969

64,105
23,151
5,926
1,907
34,151

685,919
140,765
89,487
22,906
367,013

50,316,577 44,886,016

56,694

66,361

635,232

520,390

17,652,383 16,985.376
—14,832
—183,410 —193,756

1,136

—2,255

50,686

122.54*

7,566

—186

of

'

—411

949

2,083

—2,255
1,541

50,274
26,673

122,547
18,389

—1,133

—3,797

21,600

104,158

131

128

'

.,

St Louis & O'Fallon
-—Month

of June— —July 1 to June 30—

1913.

1911-12.

1912-13.

1912.

642,937
150,799
74,813
19,568
261,100

v

16,791,619
2,668,177

July 1 to June 30—

June

449,352
154,272

14,611,278 14,123,441

2,728,079 17,468,972
225,035
2,857,693

2,503,044

.

1913.

Kansas City Short Line
JuneJuly 1 to June 30—

36,930
17,769

•

Month

1911-12.

1913.

St Louis & Hannibal

—Month of July-

1912-13.

EARNING

1912.

237,961

Railwdy

%

,

of June

1913.

&

Month 'of

2,742,912

—1,153

430
—305

1912.

Freight revenue.
Passenger revenue

St Paul

Chicago Rock Island & Pacific

—Month

July 1 to June 30—
1912-13.
1911-12.
3,214,725 43,940,945 39,131,584
1,590,813 19,080,164 17,993,420

1913.

1912.

1912-13.

1911-12,

$

12,898
18,596

9,070
13,051

%
12,029
6,086

6,505

74,484

75,779

32,664
3,499
2,812
869
v 10,419

23,366
1,325
1,890

19,654
6.691
5,246

20,705
6.468
2,907

481

220

294

_8,425

4,977

6,931

236,721
71,430
34,321
2,718
92,626

18,349

127591

17,964

17,413

14,314

1lh775

1,690

10,775

1,690

12.3&6

•24,855

13,733

271,766

226,117

241,039
73,689
29,367
2,773
96,366

25,155

14,033
2,374
3,592

229,417
15,923

123

100

2,515

2,185

275,366
19,284
44,072
1,207
31,342

213,141

215,082

9.560

9.409

110,892

106,573

"3,292

23,579

25,957

15,594

4,623

164,474

122,843

3,292

23,579

15,594

4,623

8,821

25,957
»8,602

620

164,474
8,620

122,843
13,280

14,757

17,355

14,679

4,003

155.854

109,563

8

8

138,476
160,807

108,549,
117,216

exp.

314,405
20,758
28,737
7,202
110,090

231,387
19,428
26,789
11,813
99,884

Tot., incl. general

174,208

163,632

Net from railroad
Outside operations, net

140,197
2,335

6?,755
—72

142,532
5,896

67,683
4,715

14,364
804

393

777

784

136^636

62,967

13,559

10,382

912

2,507

80

61

103

141,779

144p,319

50

Total net
Taxes

103

Tot., Incl. other

...

rev.

Expenses—Maint.way
Maint. of equipm't.
Traffic expenses
,

Transportation

...

revenue-

...

Final net

....

-

.

"

Miles of road operated

St Louis
Month

EARNINGS

-July 1 to June 30—
1911-12.
1912-13.
$

S

Freight revenue
Passenger revenue

11,443
1,914

12,176

Tot., Incl. other rev
Expenses—Maint .way
Maint. of equipm't.

14,416
2,617
9,189

16,265
11,214
6,622

422

Traffic expenses

Transportation

exp.

738

6,275

5,504

173,994
28,162

251,937
74,056
77,815
8,369

-

77,272

1

S

Month of July
1913.
S

1912.
$

246,782

420,468
'46,507
35,712
1,859
,223,545

373,162
29,063
42,471
2,320
202,180

37,531
2,737
3,064

34,567
2,935
3,457

31,491

Troy & Eastern

—July 1 to June 30—
1912-13.
1911-12.

1912.
%

199,379
38,750

213,724
97,086
95,143
6,633
75,994

1913.
«

-

41,446
984

.*

233,767

17,127

246,782
24.235
84,490

233,767
20,687
78,634

17,127
2,629
7,769

149

213

832

18,548

17,755

52,665

16,423
16,423
3,325
7,635

,

712

50

91

51,511

4,413

3,344

railroadT

21,214

26,374

305,216

265,757

326,836

292,654

26,392

26,082

188,170

176,925

17,161

16,572

—6,798

Tot., incl. general
Net from

3,062

S

—July 1 to June 30—
1912-13.
1911-12.
$
$

915

St Louis

St Louis Transfer
Month of July-

Rocky Mountain & Pac

of Jun
1912.

1913.

1,284

4,553

—10,109

—91,491

-13,819

93,631

80,508

11,138

8,485

58,611

56,841

—34

—149

-10,109

-91,491

80,508

11,138

8,485

—149

933

933

56,841
10,909

—34

10,584

58,611
11,963

1,500

900

69,923

10,205

7,552

46,648

45,932

—1,534

—1.049

6

6

25

25

'

Outside operations , net
Total net revenueTaxes

-6,798

Final net
Miles of road operated

-6,798

.....

106

—10,109
—91,491
-vl3,819
105 (See this road on p. 32)

St Paul Bridge &
—July 1 to June 30
EARNINGS

1912-13.
I

-13,819

Month of July
1912.

1913.

I

S

82,484

,

Salem Falls City & Western
-Month of June— —July 1 to June 30—

Terminal

1911-12.

93,631
11,147

S

1*1,655

Freight revenue...
Passenger revenue

3,325

1912.
$
10,945
2,553

1912-13.
$

Salt Lake & Los Angeles
Month

1911-12.

of June

1913.

$

—July 1 to June 30—

$

99,381
34,965

87,966
34,185

1912.

1912-13.

-

1911-12.
5

S

1,858

1

2,774

29,316
72,078

13.883

11,812

25,786
65,244

132,006
18,109
18,836

15,857

15,218

97,425

501

82

7,155

507

1,644

6,117

636

294

4,748

1,786
42,586

7,560
8.383
3,948
48,704

108,081

exp.

68,630

58,774

"4",506

~4",032

7,597

3,013

143,700
26,481
20,766
2,444
55,191

35,378

1,305
4,618

Tot., incl. general

113,585

98,028

8,191

8,136

20,174

6,383

113,209

80,535

7,492

7,826

71,848

92,607

Net from railroad..
Outside operations, net

49,507
3,432

49,558
3,049

4,261

1,775

—3,981

7,440

30,490

51,470

8,364

7,391

25,576

15,473

409

68

52,940
7,429

625,608

4,672

—3,981

7.440

8,364

7,391

45,510

46,138

Tot"., incl. other rev.
E xpenses—M aint. way
Traffic expenses

Transportation

Total net
Taxes
Final net

revenue.

_

.....

Mjles of road operated




163,093
20,055
19,608

147,586

41

Maint. of equipm't.

6,469

9,911

2,413
.1,370

13,824

17

533

1,633

676

522

30,490
6,431

51.470

398

5,467

273

275

-

—4,658

6,918

24,058

46,003

7,116

22,283

65

64

8,091
15

■

25,576
3,293

1,445

1,843

643

4,027

16,192
3,305
7,287
629

12,452
2,045
1,160

21

19,510
15,796

„

15

15,473
3,307
.

12.166

RAILWAY EARNINGS

SEPT., 1913.]

San Antonio Uvalde & Gulf

San Antonio & Aransas Pass
■Month

EARNINGS

of June

-

1912-13.

$

1913,

1911-12.
3

San Diego & Southeastern

?

■July 1 to June 30— ——Month of July—
1911-12.
1913.
1912.

-July 1 to June 30—

—

1912.

27

.912-13.
1912-13.

•Month

$

$

122,237

252,207
107,511

3,449.997
1,407,140

3,175,352
1,190,368

214,061
74,162

84.915
35,006

16,798
8,722

9,053
3,113

378,944
90,847
77,258
5,971
159.961

5,109,279
903,449
660,992
75,272
2.003,044

4,619,502
823,138
608,969
69,947
1,776,273

305,610
32,914
30,794
4,206
131,636

132,210
12,961
18,612

27,467
4,832
4,241

13,032
2,965
1,693

27,315
7,399
5,431

exp_

304,096
114,314
72,271
7,271
151,101

58,542

11,270

5,357

Tot., lncl. general

356,572

350,418

3,775,657

3,405,608

216,023

101,746

22,877

11,123

Net from railroad
Outside operations, net

TMi

28,525

1,333,622

1,213,894

89,587

30,464

4,590

1,909

revenue..

7,524
12,719

28,525
16,531

1,333,622
139,719

1,213,894
144,031

89,587
7,749

30,464
6,119

4,590

1,909

750

Final net
Miles of road operated

-5,194

11,994
727

1,193,902

1,069.862

81,838

24,344

3,840
253

...

22*1.385

...

Tot., Incl. other rev
Expenses—Malnt .way
Maint. of equipm'tTraffic expenses

Transportation

Total net

Taxes

727

San Pedro Los
■Month

EARNINGS

$

Freight revenue
Passenger revenue

$

1912-13.

$
6,341,500

1911-12.
%

S

1911-12.

1912-13.

v.

,

15,433,239

3,137,233

10,238,049
75,212
1,170,865
133,554
1,709,936
27,171
378.099
261,265
3,323,068

9,124,474
1,253,689
2,025,951
377,019
3,372,223

24,527,864 22,921,903
3,014,956
3,347,358
3,338,541
3,212,277
715,361
765,763
8,899,266
8,333,357

583,781

516,416

7,245,539

16,725,612

Net from railroad
Outside operations, net

557,346

374,670
—2,384

3,427,538

—770

44.864

7,802,251
—26,314

6,641,817
—22,686

Total net
Taxes

356,576
43,898

372,285
30,100

3,407,467
437,596

1,834,069
300,086

7,775.937
956,000

6,619,131
?
917,000

312,677
1,134

342,185
1,136

2,969,871

1,533,982

.6,819,937

5,702,131

exp.

Tot., lncl. general

Expenses—Malnt.way
Malnt. of equipm'tTraffic expenses

Transportation

revenue-

Final net

Miles of road operated

Sierra
-Month

EARNINGS

16,280,086

I

$

26,277

_8,445
36,705
12,383
5,274

39,929
7,302
1,462

50,874

-4,024
1,375

5,680
1,060

50,874
16,500

—5,399

4,620

34,374

75

75

1912-13.

-Month of

421,916

975,591
66,616
70,655
2,318
370,682

1911 -12.
s
105>.770

1912-13.
s

s

9,091

114,094

9,821
1,106
868

122,482
24,963

624

8,957

66,067
702,011

1,484

Ten

21,384

25,415

1,301.378

1,293,313

3.317

3,932

62,236

69,393

510,834
1.872

445,177
r—2,477

5,640

5,888

60,245

47,798

508,962
82,000

442,699
81,000

5,640

5,888

60,245

47,798

361,699
3,070

5,584

5,888

59,322

10

10

—

830

923

55

47,798

South Carolina Western
—Month of July^

-July 1 to June 30—
1911-12.

1912.

■

$

1912.

1913.

1912-13.

$

$

117,191
24,741
14,877

12,030

$

5^,239
21,334

6,225
5,171

7,591
2,500

11,569
2,363
804
>■
251
5,874

10,229
1,284

26,228

169,744
22,431
8,487
2,047
60,016

80,818
12,589
2,437
1,309
32.995

45,120

29,960

125

100

687,635
60,159
62,824
2,108
281,765

88,494
5,305
6,029
285

75,281
4,600
5,958

■32,231

116,323
50,141

352

368

7,244

7,372

424,747
94.772
39,148
3,669
82,824

Tot., lncl. general

18,403

26,921

238,285

237,221

526,030

425,050

47,920

40,250

102,409

54,427

10,329

Net from railroad
Outside operations, net

21,526

9,783

186,461

188,647

449,560

262,585

40,573

35,031

67,334

26,391

1,239

5,265

1,239

5,265

Trafflc expenses

Transportation

Total net
Taxes

exp.

425,868
88,829
38,798
4,573
87.788

July 1 to June 30—

1912.

$
8,354

1,738,490
275,625
256,332
65,188
644,760

256.464

Month of July

I

•<

June

1913.

1,119,918
426,577

325,394
1,534

473,622
1,804

■

Shannon-Arizona

1913.

1911-12.

?

521

South Buffalo
■July 1 to June 30

July 1 to June 30—
1911-12.
1912-13.
$
S
297,543
300,863
103,518
107,254

1912.

$

Tot.,lncl. other rev.
Expenses—Maint. wa/
Maint. of equipm't.

1,878,934
—

5,050,067.

5,221,199

Railway of California

28,576
9,678

...

—20,071

of June

1913.

Freight revenue......
Passenger revenue

6,810,510

5,680

120

426,962
3,081

891,086

rev

377,819

I: ,024

340

1,812,213
223,132

941,127
119,180
127,553
34,640
283,240

Tot., lncl. other

30,373

1,569

1,180,745

16,788,111

546,654
287.222

31,340

125

$

5,520,077
3,011,570

556,294
287,025

428.693
86,997
75.163
7,404
178,103

—Month of July
1913.
1912A

July 1 to June 30— —July 1 to June 30-

1912.

15.644

36,053
7.785
7.006
365
11,894

$

$
231,363
171,733

Seaboard Air Line

Angeles & Salt Lake

of June

1913.

19,370
14,601

664

968

1911-12.

1912-13.

1912.

$
13,589
11,844

Freight revenue
Passenger revenue

July 1 to June 30—

of June

1913.

-

115

21,526
1,700

Final net

Miles of road operated

9,783

186,461
20,681

188,647
20,558

449,560
14,677

262,585
11,168

40,573
1,250

35,031
1,196

8,083

165,780

168,088

434,882

251,416

39,323

33,834

65,434

36

36

75

South Dakota Central
-Month

EARNINGS V

Of June

1913.
S

South
-Month

-July 1 to June 30—

1912.

1912-13.

1911-12.

S

$

%

Freight revenue.
Passenger revenue

18.582
5,308

11,991
4.894

59.455

Tot., lncl. other rev
Expenses—M aint. way
Maint. of equlpm't.

25,411
4,692
1,910

18.620

303,131
55,647
28,478

.....

26,391

67,334

1,700

19,826
75

revenue..

1912-13.

1911-12.

%

4,964

100

300
939

5,165
*

76

-Month

11,454
4.838

143,736

20,807
2.380
1,911

18.426
2,964
2,100

38

-July 1 to June 30—

June—

of

1911-12.

1912-13.

1912.

1913.

$

$

4,563

128,664
52,923

227,367
"

.

2,730

Southern Utah

-July 1 to June 30—

1912.

S '
13,844

.•

Georgia

of June

1913.

757

25,633

>

1,900

297
137

-

v.

222,251
33,300
27,049

136,737
57,490
213,763

52,842

5,067
5,691

138,327
6,647

425

415

"

exp.

7,358

5,448

2,936
88,294

196,667
42,730
23,345
3,227
60,383

5,699

4,893

66,324

Tot., lncl. general

15,896

15,402

191,230

147.659

11,573

11,219

143,141

129,089

9.515

3,217

111,900

49,008

9,233

7^07

79,110

84,674

401

9,515
800

X217 "

49,008
10.910

9,233

7.207

79,110

698

667

8,194

84,674
6,703

401

900

111,900
9,800

252

2.317

102,100

38,098

8,535

6,539

70,916

77,970

169

1,791

102

102

82

82

20

102,302
19,259
25,118

123

8.715

20

Traffic expenses

Transportation

4,947

1,940
272

226

Net from railroad

294

468

36,282

255

24,291

2,060

4,325

3,825,

8,357
1,885
1,935

92.816
5,474

155.518

7,322

51,736

18,162
30,808
344

76

46,496

39,084

101,942

91,009

1,915

53,576

11,293

1,915

53,57(

11,293
1,400

21

.

2,486

5,290

•

1,991
6.442

Outside operations, net
Total net
Taxes

revenue-

Final net

Miles of road operated

Spokane International
-Month
EARNINGS

Of

June

1913.

1912.

Freight revenue.
Passenger revenue

59,234
23,742

Tot., lncl. other rev.
Expenses—Malnt .way
Maint. of equipm't.

%
64,873
24,170

87,029

.....

95,290
16,801
6,648

of June

1913.

-July 1 to June 30-—
1911-12.
1912-13.

1912.

S
257,828
169,041

866,868
154,317

234,789

2,428
24,518

1,148,050
202,035
73,510
23,926
343,242

25,354
279,581

$

$

-Month o.

July 1 to June 30—
1911-12.

1912.

1913.

S

1912-13.

$

$

9,689

2,713

2,133

92,835
2,627

111,178
21,301
16,340

107,629
31,963
26,569

2,896
570

11,011
1,656
1,192

62

67

1,219,303

31,567

33,275

1~498

"2",715

93,238

3,040

6,900

14,390

-144

3,246,230
1,682,949

2,812,604
1,697,075

94,377

147,218

458,909
70,722
31,793
11,936
112,891

9,892

Standard & Hernando

Spokane Portland & Seattle
■Month

—July 1 to June 30—
1912-13.
1911-12.
t
S
572,824
837,879
246,043
267,892

2,95c

50.622

412,260
37,087
63,214
8,839
93,159

5,341,465
674.201
464.202
95,511
1,309,604

4.837,140
514,044
514,765
87,324

183

253

:*•

exp.

23.411
7,904
1,938
27.060

Tot., lncl. general

63,879

53,692

686,598

568,665

246,049

215.367

2,696.545

2,476,258

,70,827

23,150

41,597

461.452

298,203

212,860
2,123

196,892
2,022

2,644,920
1,695

2,360,882
13,094

"40,350

Total net revenue.:
Taxes

23,150
3,020

41,697
2,525

461,452
38,351

298,203
29,272

214,984
53,400

198,914
53,400

2,646,610
640,800

2,373,977
527,404

40,350
5,015

14,390
5,015

-144

474

474

Final net
Miles of road operated

20,130

39,072
161

423,100

268.930

161,584

145,514

2,005,816

1,840,572

35,335

9,375

—618

3,635

3*

34

Traffic expenses

Transportation

Net from railroad

,

68.108

Outside operations, net

161

,

556

-

Stanley Merrill & Phillips
-Month

EARNINGS

1913.

Freight revenue.
Passenger revenue

of June

3,239

2.851
315

91,824
10,391

4.179

3.469

11,610

5.156
Cr.472
239

105,504
31,730

635

Tot., lncl. other rev.
Expenses—Maint .way
Maint. of equipm't.

-Month

4,084

2,663

33,234

15.480

8,059

96,237

—11.301

—4,590

9,266

—9,564

—11,301

—4,590

Total net

revenue..

Taxes
--

197

Final net

—11,498

Miles of road operated

51

239,037

31,532
5,993

26,682
>4,410

3,346

231,937
52,317
38,517

45,083

<

60~996

18,944

25,005

31,480

33,475

873,443

11,394

68,835

61,414

25,044

42^1§

362,537

11,394
600

68,835
9,840

61,414
7,259

25,044

820

3,618

42,819
6,322

362,537
44,749

10,794

58,995

54,155

21,425

36,496

317,788

62

58

81

81

Month of July
1912.

—July 1 to
1912-13.

1913.

i
12,873

Tennessee Alabama & Georgia

Tampa Northern
June 30

1911-12.

Month
1913.

*19121—

495

359

7,560

9,252

53,525

Tot., incl. general

248,448

246,105

18,983

19,590

120,534

118,948

10,441

52,691

71,730

-2,276

4,088

1U373

43,250

6,250

62,691
7,800

71,730
5,325

-2,276

,4,088

450

450

70,373
14,487

43,250
12,023

6,250
1,200

44,891

66,405

-2,726

3,638

31,227

73

74

6,050
60

Final net

lies of road operated




1

55,885

114,627
35,847

12.130
3,328

162,199
33,598
27,243
1,978
45,230

16,692
3,315
1,601

Month of July

—July 1 to June 30-—
1912-13.
1911-12.

S

534

Taxes

"

12,314

exp.

revenue..

100,498
12,434
14,012
235,994

40

13,134

190,908
32,170
26,924

Total net

800
710

—9,564
2,422

140,550

Outside operations, net

10,136

—11,986

_37J61

Net from railroad

76,295
5,714
533

56,524

6,974

3,004

Transportation

735,900

170,523

1*9,511

Traffic expenses

60,050
13,391

233.741

23,679
4,181
4,721

Maint. of equipm't.

$

$
547,422
156,326

$

13,134

'

1911-12.

1912-13.

1912.

15,287

2,954

Expenses—Maint .way

July 1 to June 30—

June-—

TrMt

16,706
4,739
5.066

rev.

of

-

$
38,293
11,164

7,406

292

317,836
50,579
55,949
5,829
121,102

Tot., incl.other

■

1913.

302,576
83,884
53,474
1,378
85,108

301,139
54,228
55,949
6,077
121,611

Freight revenue
Passenger revenue

'

163,575
51,664

-Month

18,398

'

55

•July 1 to June 30—
1912-13.
1911-12.
*
S
263,639
279,140
31,274
32,145

$

21,181
4,397

Susquehanna & New York
EARNINGS

1911-12.

4,110

Railway

2,291

9,266

184

—4.775 "

1912-13.
$

,

3,927

95,887

Net from railroad
Outside operations, net

S

25,083
3,788

7,798

exp.

2,446

Sunset

-July 1 to June 30—r

1912.

S

7*5,425

Tot., lncl. general

Transportation
.

257

23.066

of June

1913.

86,323
29,734
27,956
2,338
29,984

Cr.950

Traffic expenses

556

Sumpter Valley

July 1 to June 30—
1912-13.
1911-12.
S

1912.

""

909

1913.

73?758

92,967
30,448
137,110
39,143
21,085
8,276
54,165

110,604
41,567
23,314
10,478
53,278

8,514
2,805
1,016

8,947

131,466

137,880

8,456

6,562

5,644

—27,276

57

6,562
1,150

5,644
9,550

—27,276
9,511

57

5,412

—3,906

—36,787

14

44

4,943

3,817

-

1,300

4,150
2,744

11,164
2,967
15,510
2,316
1,896

•'

60

24,587

2,903
12,805
4,140
1,807

564

857
4,704

5,356

-

-

%

'

-

-

■

1912.

-

515
515

785

—728
94

12,289

820
'

—244
94

RAILWAY EARNINGS

28

$

Terminal Railroad Association of St Louis
St Louis Merchants
•■' ■Month of July—-^— —Julytl to June 30—
1913.
1912.
1912-13.
1911*12.

-Month

?
—July jl to June 30—1
1912-13.
1911-12.

1913.

$

"""*

$

$

80,904
37,309

Freight revenue——
Passenger revenue

1,154,130
434,170

inci. other rev
Expenses—Maint.way
exp _

1,684,334
339,939
173,478
67,935
572,079

64,905
565.848

Tot., inci. general

1,238,921

1,214,340

99.831

102,004

445,412

329,349

"7~"48,566

23,698

.1,084,916
120,561

329,349
61,147

; 48,566
4,245

23,698
4,264

278,201

44,320

19,433

293

"

293

...

vTot.,

*-Maint, of equipm't.
.Traffic

,

,

expenses

Transportation

Net from railroad

1,053,872
397,051

96,685
43,631

5,690
»,308
204,437

"148R98

♦

125,703
29,370
15,828

•

,

.28,099

,

10,662
5,746
48,084

,

6,022
44,093

Outside operations, net
Total net revenue.-

Taxes

445,412
60,946

•

394,466

Final net

Miles of road operated

-Month
1913.

1912.

,772
,697

revenue..

Passenger

revenue

...

158

320

280
304

3,141

9,505

9,532

14,357
-4,665

Traffic expenses

Transportation
'■

exp.

Tot., inci. general

Net from railroad

3,805

470

3H

2,983,589

2.699,794
<436,550
260,515
8,445
1,020,992

223,961
31,939
22,433

223,928
40,521
11,867

2,080,438

157,393
41.924
13,204

145,144
'26,216

84,208

78,627

374,856
114,902
8,356
1,070,746

1,767,953
285,315
101,477

1,898,672 ! 1,797,756

147,190

138,392

1,640,995

902,037
114,179

76.770
6,305

85,536
14,181

439,443

1,205,478
319,885

1,016,217
325,010

83,076
26,600

99,717
29,900

885,593

691,206

56,476

69,817

449,432
212,134
11,081
1,124,096

787

•

>..

858
_

658

33

Texas & Pacific
Month
—July 1 to June 30

-

\

1,421,620

143,057

112,867

346,333

14,336

439,443
69,418

346,333
68,932

14,336
5,600

32,276
6.100

370,025

277,401

8,736

26,176

9

9

33

1912.

848,935
348,946

1,382,818
259,257
237,010
36,645

395,406

1913.

1912.

5,696
6,368

4,502
5,457

13,175
4,544
2,222
218

2,787

3,572

1,120,306

1,302,920

10,540

7,921

3,306,002 v3,664,927
—29,167
—48,234

262,512
4,603

-26,097
—4,429

2,625

-6,852

—823

35,681

-4,665

824

3,276,835
693,441

3,616,693
728,070

267,116
48,275

-30,527
48,275

35,351

-4,673

-84

67,555

2,583.394

2,888,622

218,840
1,884

—78,802
1,884

2,675

•

70,416
49,949
130,955
26,429

8,004
2,204
36,027

98,275

79,785

79.208

2,172

;

1911-12,

175,484
34,773
9,968
1.724
41,451

10,540

2,625

8

4,072
4,157

68,379

329

revenue.

_...

1912-13.
100,290
63,649

907
140

548,528

1,276,822
259,798
254,475
32,335
709,745

1

Total net

468

,

77,057

Outside operations, net
Taxes

12,059

;

.ill

81

Pa eific System—
Weatherfor4 Min Wells & North Western
Month of June—
of July
-July 1 to June 30—

901,157

18,078,783 16,973,222
2,165,310
2,376,174
2,580,395
2,978,754
376.704
420,759
8,434,430
7,636,060

5,462
965,145

&

1913.

1911-12.

r

170,239 14.772,780 13,308.295

10,925

1,089

rev

5,005

6£,379

149,273

36,504

Maint. of equipm't.

Tot.; inci. other

'"'298

238,619
14,069
7,481
5,078
113,427

160,198
16,093
15,050
3,028
80,547

46,036
'1,243

9,692

Expenses—Maint.way
i

,""249

12,407,460 11,807,963
4.513,961
4,092,245

i

1912.

-

2,995

226,240
2,118

121,241
15,109

8,711

1913.

■

1912-13.

$

Freight
*

July 1 to June 30—
1911-12.
1912-13.

of June

'<*

Bridge & Terminal
Month of July

'5,462

,

Texas

Texas City Terminal
EARNINGS

xcyii.

Terminal Railroad Associ ation of St Lpuis System

Tennessee Central
—July 1 to June* 80—!
1912*13.
1911-12.

EARNINGS.

[Vol.

51,170

79.208

2,618
649

51.170

1

5.684

5,371

1.968

73,836

453

"

"

Final net

...

_

_

.

_

Miles of road operated

6

6

:

June—'—July 1 to June 30—
1912.
1912-13.
1911-12.

1913.t
$

EARNINGS

Freight revenue.
Passenger revenue
Tot.

of

...

inci. other rev.
Expenses—Maint .way
: Maint. of equipm't.
,

Transportation

exp.

S

17,674

16,934

38,084
9,273
11,983
1,687
18,031

807,704

674,255
133,489

126,803
20,172
307,640

138,846
19,311
241,178

20,643
4,630
2,526

17,581
4,262
2.977

212,811

151,786

154,439
50,563
23,978
1,428

134,765

57,355
13,337
9,739
1,386
24,184
51,679

43,546

644,788

5R75

-5,462

162.915

26,993
0,264

370,113
97,514
> 4,760
9,025
142,121

304,510
72,705
2,933
7,008

248

.

704

19,271

270,034

232,017

Net from railroad
Outside operations, net

7,097

7,722

100,079

72^93

Final net
Miles of road operated

5,877

87,457 ;

—July 1 to June 30—■
1912-13,

-

1911-12.

$

112

4.800

41,781

125

-Month

1913.

243,003
28,113

3,715,575
358,932

3,865,229

6,883

4,335,166
542,643
565,563
162,989
1,521,208

14,526

14,062

268,702

185.660

3,002

~4j572

101,273

108,306

Tot., inci. general

170,986

167,616

Net from railroad-...

73,198

71,182

;

*

—July 1 to June 30
1912-13.
1911-12.
$
1

—Month of July
1913.
.
1912.
!
1

3,207,823

293.967
35,509
25,930
7,161
108,435

6,828

Transportation

1911-12.

369.976
51,800
55,209
18,977
133,561

exp.

expenses

1912-13.

'•

3

308,210
38,202

218

Traffic

28,152

Toledo Terminal

—July 1 to June 30—

1912.

24

24

of June
,

If

r

"

Toledo St Louis & Western

192

rMaint. of equipm't.

25,757
1,344
24,413

112

5.870

2,485
86,556

11

25,757

00,019

1,503

Expenses—Maint.way

43,125

4,912

143,739

18,134
4,643
1,571

244,184
45,334

4,912

•

-7,112

16,423

rev.

5.982

—241

3,799

s

225,028'
11,735

11,953

revenue

inci. other

109,169

39.625

43,125
1,344

—Month of July
1913.
1912.

$

228,973

revenue.a.

128,682

5,982

17,529
5,141

,

169,685

109,169
19,150

16,156
1,132

Tot.

12,668

162,673
18,934

238,798
50,299
27,279
2,523
77,828

Freight

Passenger

14,661

-5,462
1,650

Valley

Tionesta
EARNINGS

1,758
64,142

565,086

5,433
1,634

161

161

124

4,390

56.999

12,621

6,777

■

.

30.118

116

6,277

72,493
15,493

100,079

945
:

59.242

125

7,722

7,097
1,220

«...

s

—241

revenue-

133.708

14,679
1,901

188.164

15,024

16,957
1,679

27,394
5,760

10,721

%

489,676
141,719

39,073

235
801

1911-12.

1912.

1913.
\' %

580,584
185,304

215,214
68,390

20,296

Taxes

S

1911-12.

23,586
11,271

261,868
88,502

12,152

Texas Oklahoma & Eastern
of June
-July 1 to June 30—

Month

July 1 to June 30—
1912-13.
$

1912.

19.984
5,867

Tot., Inci. general

Total net

of June

1913.

18,797
6,821

'

Traffic expenses

-Month

41

41

Texas Midland

Texas Mexican
-Month

45,486

"•

1,241

408,459

25,293

1,421,707

313,618
37,416
43,617
2,644
164,519

33.619
8,499

44,240
2,726
201.794

16,456

2,162
156
12,648

2,900,257

2,665,858

316,972

260,038

31,881

22,285

1,434,909

1,199,371

86,497

53,580

1,738

3,007

108,306
13,293

1,434,909
179,504

1,199,371
179,543

86,497
29.208

53,580
25.647

1,738
2,191

3,007
2,426

95,013

1,255.404

1,019,828

57,289

27,932

—452

580
31

"

403,470
56,493

423,901
620,322
96,991

6,381

,

5,752
260

Outside operations, net
Total net

.

Taxes
Final net

73,198
4,938

71,182
4,935

3,002

4,072

350

350

101,273
16,804

68,260

revenue.

66,247

2,652

3,722

84,468

86

85

450

Miles of road operated

1

Tooele

Tonopah & Goldfield
Month

EARNINGS

of June—•

July 1 to June 30—

-Month

1911-12.

1912-13.

1912.

1913.'

Tremont & Gulf

Valley Ry Co
—July 1 to June 30—
1912-13.
1911-12.

of Jun<
1912.

1913.

31

32)

on p.

-Month
'

'

8

Freight revenue...
Passenger revenue

—

450 (See this road

S

5

5*1,471
10,306

"45,898
9,214

*

.

550,831
106,665

$

*

•

8,273
2,579

6,946
2,099

72,623
26,599

48,985
19,085

16,684

617,321
102,494

9,579
1,012
3,226

1913.
$

79,983
3,640
17,411
1,852

July 1 to

of June

1912-13.

1912.
S

June 30—

1911-12.

16,777

>

.

15*1,972

1,300

24,755

167,851
14.307

19,926
6,773
1,677

13,459
2,397

193.566
78.401
20.835
5.194
55.324

<

Tot.; Inci". other rev;

58,210

64,371

696,397

760,442

Expenses—Maint.way

'f 3,483

67*823

exp.

14,722
,4,837
2,308
12,850

8,534
1,821
11,216

89,697
22,629
160,000

88,691
118,485
21,629
196,554

6,195

6,239

129,773
7,546
23,363
2,122
75,670

41.691

6,628

5.142

196,690
57.323
28.384
4.700
74.366

Tot., inci. general

27,917

27,782

371,084

460,670

9,687

10,867

113,465

69,431

15,250

15,129

177,406

171,808

3^588

325,312

299,772

6,996

^1,287

16,308

10,551

1,558

4,797

19.284

21,757

299,772
29,982

6,996

-1,287

4.797

19,284

Maint. of equipm't.
Traffic expenses

Transportation

Net from railroad..—

Outside operations, net
VTotal net
Taxes

:

-

-

3P.292 ~

revenue-

3( .292

,289

36,588
2,474

325,312
27,746

—

28,002

34,114

,297,566

Final net

Miles of road operated

EARNINGS

1912.

1913.

Tot.", inci. other

...

21,557
,5
3,f,628

rev.

r

3,808

"Maint. of equipm't.
Traffic expenses

Transportation

exp.

15,396
11,346

Taxes
Final net

.........

Miles of road operated

18,454

-

4,900
3,182
2,031
6,282

266,272
43,186

;

328,240
50,050
32,664
20,549
76,890

227,745
43,750

291,390
49,505
30,784
25,769
79,527

50

50

600

21,757
1,350

8,494

1,508

4,747
102

18,684

20.407

water

Bullfrog- Goldfield
-July It to June 30—
of June-—

1,666

5,296
1,792

7,633
1.761

71.966

7,682
2,094

,5,364

\

.

827
936

2,905

—July 1 to June 30—

of June

1913.

S

1912-13.

1912.
$

'

$

1,468

26,407
1,329
28,461
! 8 ,649
3,531

<20,986

293,423
.16,385

369,910
65,294
51,868
1,030

15.375
4

100,163
23,803

1911-12.,
$

""

346.312
"*15,027

17,552
5,374
3,079

73,177
18,993

18,920

99,063
24,378
14,335
10,753
36.219

881
918

2,806

■>

-Month

1911-12.

1912-13.

1912.

1913.

:'

Uintah

System-

Month
■

82

7

10.814

88

3,806

4,389

3<8.<

13:449

58,868

67

37,619

,■

1.034
67,785

1,173 ;

>

197,329

7,357

7,651

92,785

94.061

~276

~30

6,247

(10,058

1.173
1,548

136,549
15,482

94,061
18,624

276

30

612

658

.121,066

75,436

—335
83

—627
'
83

180

180

—July 1 to June 30—
1912-13.
1911-12.

Freight revenue.
Passenger revenue

708,040
374,641

Tot.; inci. other rev.
E xp enses—M alnt. way

140,833

18,476

194,905

9,449

9. •84
93

175,005
—37148

99,098
—29,350

10.029
1,500

9.190
2,299

137,857
22,780

70,647
20^25

8.529

795

—374

11,346 .
•1,287 /

8,102

6.891
r

115,076

68

99,367

136,549"

218,610

68

191,691

17,281

Union Ry

Ulster & Delaware
EARNINGS

10,551
2,057

14,718

579

Tot.,; inci. general

revenue..

12,505
4,181
r

2,433
1,860
6,298

Net from railroad
Outside operations, net

Total net

16,308
1,589

1.558

147

6,858

1911-12

1912-13.
-

>

•

26,742

Expenses—Maint,way

•

434

391

-1,435
.

-Tonopah & Tide

16,809
2.960
4,114

•137

,269,789

.

157

200

Tonopah As Tidewater *1
of June
—:July 1 to June 30—

Month

Freight revenue..
Passenger revenue

/

2.208

110

110
;

_

-

,

596

Month of July
1913.
'
1912.
S
60.885

3

795

6,247
7,369
'

7,959

-1.121
'

-7,163

*

642,130
365,627

78,181

exp.

151,292
16,477
14,865
2,106
48,395

107,170
28,672

157.107
20,807
475,389

145,941
14,694
14,817
3,067
51,782

Tut., Inci. general

825.800

768,420

87,349

84,229

Net from railroad....
Outside operations, net

312,252

292.593

WMT

677063

50,169

23,631

714

728

-76

—Month

—July 1 to June 30—
1912-13.1911-12.

of June

1913.

1912.

1913.*

1912.

$

$

f

I

*

•

66,563
78,344

137,462
21,598
431,112

Month of July—

■

50,122

(Ltd)

Union Stk Yds Co of Omaha

(of Memphis)

—July 1 to June 30—■
1912-13.
1911-12.
J1".'
%
•

^

•209

.

*

Maint. of

equipm't.

Traffic expenses

Transportation

Total net revenue..

Taxes
Final net
of road

312,966 *<293,322
39,308
41,147

271,818

-•••.

254,013

operate^




A

t

7,369
1,931
Cr393

7,461
2,688

84

6

16,182

30,334

Cr2,287

3,914

12",039

57,001

73,708

2,652

8,122

24,784

58,514
-3,500

66,853
3,300

55,014

63,553

39,842

128

128

"

/

4,716
1,000

,13.676

3,716

23,631

*'•"

34,307
2,550
4,075

574

—660
801

—1.462

""

20

•

■

.

9,522
3,108

38,759
7,509
4,811,

1

468,733
A9.928

57,341

'

44,073
56,323

12,487

•

161',540

162", 279

32,023

345,715

.336,354

6.736

•

9,522

4.716

"r9,954

50,169
10,327

°

^97»791

21

97,339
23,961
6,145

191
85

123,022

<161.436

6,736
2,814,

123,022
29,832

161.436
21,471

93,190

139,965

3,921

5

20

34

.

.

(

'

Victoria Fisher & Western

United Verde & Pacific

+—Month of
■Month of July
1012.J I ,1913.
1913.
I
%
$
20,421
16,086
16,265
V,.- 4*
1,898
.1*799

—July 1 to June 30—1
1911-12.
1912-13.

EARNINGS

«

Freight revenue
Passenger revenue

ll7,993

199,650
21,812

TJ.r

.17,832

Maint. of equipm't-

3,993

Traffic expenses

72$

74,144

Transportation exp.

/

Tot:, incl, general

229,336

232,417

2,797

-16,519

Freight

revenue.

—

Passenger

.1.

.

revenue

...

Tot., incl. other rev,
Expenses—Maint .way
Maint. of equipm't.
Traffic

410

5,678

...

exp.

7,790
23,952
5,462
7,306

-38,205
163

m

8,801
2,619

7,256

16.746

21,919

212,812

7,050

2,032

—38.369

5,478

1482

1,993

56

894

■

,1

Month
1913.

of June
v
8,265
1,224

1912.

7,613
1,572

207,100
85,715

1,820

11

"16,305

,653

5,842,583
741,069

1,090,727

•Month of July-—
1913; i

1,987

1,672

280
23,234

21,687

63,490
1,372,167

61,959
1,302,826

218.787

4,484

4,436

54,468

53,468

3,374.156

91,185

5,366

5.213

66,449

62,867

,121,336
19,267
6.946

120,918

!

18,014

-

i

—_r_

336,408
30,436

471,175

868,927

137
10

*
1912*'^

420,724
36,457

4,837,598
637,738

9,649
1,801

25

30.308

Virginian
—July 1 to June 30
1912-13.
1911-12.
4,436,401
6.350,843
337,362 ♦
261,814

—July 1 to June 30-1—
1912-13.
1911-12;'
10c ,277
101,702

258

380,221
56,499
69,601
5,462

60,993
86,619
5,490
1U,544

•95,425

2,971,79

273,887

235,707

2;468,427
73,668

l,865,80i
60,317

197,288
6,322

i

1,926,123

•

144,514
6,367

86,996
21,010

24,353

666

783

8,258

62,867
5,228

214,300

194,200

203,610
21,060

150,881

1,729

2,032
2,026

2,542,096

5

65:985

66,831

"4405

4,430

58,190

57,638

2,327,796

,1,731,923

182,55$

132,581

67

67

7,050

v

»

-Month

5,753

23,366

3,576

51.811

43,906

1,752

2,223

117,334

119,392

38,034

13 ,454

36,722
24,369
2,263
49,918

10.330

457,326
67.447
46.812
'2,542
111,060

363,478

44,123
24,255
2,365
45,158

34,129
6,540
4,695
; - 225
9,929

50,928
56,379
2,627

6,382
100

100

103,792

5,285

3,871

12,499

121,281

119,447

~2§73T2 '

22,393

'242,446

227,970

14,208 '

—4,179

—3,946

-54

9,661

11,736

214,880

135,508

5,975
2,335

198

157

3,790

3,674

9,726

Tot., incl. general
Net from railroad..J.
Outside operations, net

M

mm'wi a*

-3,946

1,179

642

556

-11,004

64

1
.

Expenses—Maint.way

7,644,251
1,089,067

1,087.525

925,479
125,567
2,662,848

rev.

Traffic expenses

Transportation

...

exp.

Tot., Incl. general

"Net from railroad.-

—

189.109

3,270,016

942,553

49

136,605

151,427

—6,428

—9,42$

6.210

200

—6,428
250

-9,423
2,394

7.2

$,210
,994

-954

I

—6,678

-11,817

3,216

49

'

124,776

49
—

—

570,982
96,240
81,067
12,448
208,478

6,864

435,302
108,637

1912-13.

1912.

Western Ry of Alabama

—•

■Month
1913.

67

,

"135

*

7,325

901

—40,867

186,407

157,124

4,883,280

553,201

411,674

1,846,891

2,359,777

174,575

159,307

—11,884

—12,192

—70,747

-57,191

Total net revenue..
Taxes

1,849,232
240,000

2,363,208
252,000

174.575
19,000

159,307
20,000

—12,192

1,609,232

2,111,208

155,575

139,307

-13,092

-12,784

661

543

31

1912-13;

1912.

1913.

vt.,

90(

—Month

1011-12 ...

372,055

56,270

301,543
37,873

438,711,

344^683

4,607

60,158
16,770
.17,844
110,622

—637

,lQk800

59,244

309,045
54,722

—3,124

—20,590
133

297,444

254,322

17,853

11,381

242,392

222,224

-2,922

3r765

196,319

122,458

137,842
22,181
14,227

14,930
4,829
7,064

15,147

2,436

256

54

46,483

4,719

Tot., incl. general

95,050

95,485

Net from railroad....
Outside operations, net

35,458

42,356

Total net revenue..

35,458
2,105

42,356
2,952

96

175

196,319
21,187

122,458
18,934

16,025
2,000

33,352

39,403

-3,018

X590

175,131

103.524

14,025

Maint. of equipm't.
Traffic expenses

s

—

Transportation exp_

Taxes
Final net

...

3,765

-2,922

56

Month

84

Mississippi Valley

—

July 1 to June 30—

of June

1913.

1912.

...

557,362
199,066

472,752
181,154

rev

817.056

.....

0

6,763
363

1912-13 ;

-

6.516

102,103
7,593

1.279

119,674

145,782
33,549
24,599
4,217
62,381

137*141

2Hi

7,566

8.102

4,534

2,604

1,565
1J14
8,654

159

301

8,214

3,510

20,606

18,243

10,593

8,840

113,076

16,025

9^26

=C027

1912-13.
7,625,031
2,587,307

1911-12.

8,444,066
2,417,335

:

J&-U

1,595

1,842

"

ill94

-Month

-4.276

9,520

•1.886
1,145

8,169

-740

-7,224

2,000

642

—4,919
135

89

8,041

■1,249

-1,148

7,526

91

y

Yosemite

21,652

115,270
24,825
29,187
2,260
46,890

.

•

—IMS

"94%

TA92
11,456

-

—3,963

135

,

i

Valley

.

1911-12.

4-

-1,249

Yazoo &

Freight revenue.
Passenger revenue

1912,

'

Miles of road operated

EARNINGS

2,211
3,812

o

23,251
4J015

<

..

June— —July 1 to June 30—

of

1913.

1912.

6.908

.

;Wisconsin & Michigah
Month

of July

3,837
5,212
1,858
11,311

130,508
21,315
18,153
4,994
40,729

Expenses—Maint.way

309,682

122

356,688

36.632

50,872
25,072
21,529
128,135

5,170
8,957

rev

'356,568

64,676
424,953

—67,991

1913.
28,787

5,449
8,588

Tot., incl;other

—15,909

133

73,077
57,292

...

...

1,081,329

—694

-57,191

—81.547

July 1 to June 30—•

-Month of July

1911-12.

900

74,790
48,314

Freight revenue
Passenger revenue

1.055,586

—16,603
3,986

-70,747.
10,800

—11.884

WinstoiSalem Southbound

Williamsport & North Branch
July 1 to June 30—
1912-13.

43,752
■

1,391,011
237,913
277,346

'*

2.835
5,960

31

Miles of road operated

EARNINGS

783,471
497.851

4—66

2,341

.j—,

S

547,629

112,563

"

2^02v

3,431

Outside operations, net

Final net

.

••

1,412,153
245,857
264,012
.71,988
405,445

102,051

181
rr.

1911-12.

$

749,693

90,654
20,889
33,545
5.517

104.953

19,488

10,864

5,797.360

99,933
33,538
76,583
2,324

805

July 1 to June 30—
1912-13.

$
47,614
43,547

.

29,545
21,690
6,518
39,413

850
»

49.153
45,335

92,900

115,659
33,981
50,077
8,653
-87,084

r,603
13,724
4,484

2,681
4,437

of June
\ 1912.

1911-12.

110,087
v.;.
1,001

6,950

"

19,517

•

14,964 •;■»

-754

Month

727,776
111,241
97,945
24,691
303,457

7,243,057
994,542

Maint. of equipm't..

Tot., incl. other

t

157,637
48,166
29,970
1,442
61,667

-754

207,606

9,982

1913.

536,255
156,824

,6,001,112
•

7,666
2,937

1,023

George's Creek & Cumberland *. vvA
of June——July 1 to June 30—

Western Maryland
30— - ■
Month of July
1912.
1913.
1911-12.

6,285,139
i 996,690

>

•

26,777

•

127,182
51,310
28,892
1,269
49,996

49

ll,73e
1.75c

9,545

—6,893

to June

1912-13.

...

.

-Western Mar yland System
—July

.

...

9,661
-115

—54

64

...

Freight revenue.
Passenger revenue

-

6,839

7,057

—4,735

Miles of road operated

EARNINGS^

8,603
62
8.364

17,171

'

'

•1,908

■t

.......

Final net

W

-1,265

'»* Total net revenue..

Taxes

-

•1,265

1912-13;
104,370

191.2.

11,426

Maint. of equipm't..

474

503,

—July 1 to June 30*"*

June

303,944

Tot., incl. other rev
Expenses—Maint.way

Transportation exp.

■Month of
1913.. A

1911-12.

388,558

8,320

.4.

r

29,351

8,460
3,198
2,158

Traffia expenses

1912.

June 30—

July 1 to
1912-13.

of June-

1913;.

82,974

18,500

Allegheny,

Western

Washington Idaho & Montana
31,098
5,473

80,075
21,163

...

(See this road on p. 32 )

29

r

Wabash Chester & Western
■Month of June
July 1 to June 30—
1911-12
1912.
1913
1912-13.]

6644$

5.213

5,366

91,185

5,233
1,697

Freight revenue.
Passenger revenue

.

32,258
1,949

51.776

"05l
1,681

5,575
1,358

''

53,596

"5T325

EARNINGS

s

3,032
"162

309,972
60,335
40,246
8,532
<■'
98,030
v

W'fi»

56

->v

.

-v

32258

3,032

32

Virginia-Carolina

86,996

revenue..

.Final net
Miles of road operated

-i.

j]i 4A71 --n* 1 63465

I

4,073

1,393
5,400

518
26

r

■

299,808
58.009
33,300
tr 8,329
100,671

*

;

"1,652

4,073

861
343

202,111
81,602

23,796
4,513
2,660
1,025
7.523

Nat from railroad....
Outside operations, net

•

H

-J

L

4,749

94,095
14,687
7,278
.1,459
29,968

17,207
7,289
t1,280
35,087*

681

4,393

)

123,061

1,248

,76.159

8,801,

—July 1 to June 30—
1911-12.
1912-13.

1912.
15,014

15,199
7,048

Tot., incl. general

Total net
Taxes

June—

of

J

expenses

Transportation

Month
1913.

.

7204

2,413
23,543

-38,205

49

-20,996

-

ft* ■!',

3822

;

143,075

Virginia & Trtickee
■'•ft

80,553
26,125

5.881

Miles of road operated

earnings

6,514
*1,695

21,491

58.627

90

-16,519
4,476

revenue..

Final net U-- J IIU.

80,553

ism

17,947

■

July 1 to June 30—
1912-13.
1911-12.
%
94,621
68,870
24,730 fr t 22,645

^

Taxes
»

151.877

11,559

3,694

900

of June

9

$

861

18,040

Net from railroad
Outside operations, net

ronth
1913.

—

—

*5'Ml

.

Virginia & Carolina Southern

June— —July 1 to June 30—
1911-12.
:3.
1912*1<
1912.

20,421

18,809
7,356

18,940
7,077

215,897
97,339
52,921

232,133
86,965
54,125

t
Tot., incl. other rey.
E xp enses—M alnt .way

i-Total net

29

RAILWAY EARNINGS

SEPT.', 1913.]

* !1 'ft

Youngstown & Ohio

of June-— —Julu i to June 30-^-

—July 1 to June 30—

■Month

7,975

124.264

108.706

1912-13.
50,130

1911-12.
47,248

1913..
3,497

27,204

21,539

142,104

149,272

171,143

166,541

16,959

46,577

30,484

3.290

3.232

278,354
30,896
21,239

270,478
32,936

1,620
1,326

243,643
25,051
1^,723
3,468
71,874

234,900
18,338
13,251
3,265
67,135

of Juty
1912;

"23,021
3,087
1,445

1913.

1912.

17,980

v

1912-13.

1911-12.

3,483
14,700
20,613

Expenses—Maint.way

80.454

192,799
3,996.828

1,214

exp.

152,217
15,497
370,544

10,999,673
1,997,364
1,637,222
15,364
180,152
327,290
4,491,718

9,619,222
1,970,336

Maint. of equipm't;

7,268

4,655

56,211

49,536

5,910

5,660

Tot., incl. general

642,249

626,503

8,624,818

7,925,885

14,255

11,589

127,603

121,451

130,979T

115,523

12,016

10,517

174,807

116.598
1,422

2,374,854

1,693,3|7

32,321

18,894

150,750

149.027

112,664

119,376

11,005

10,095

2,924

2,377.778
466,491

112,664

119,376
11,525

11,005
1,232

10,095
1,118

107,851

9j72

8,976

35

35

Tot., incl. other

Traffic expenses

Transportation

_

Net from railroad

Outside operations, net

743,101
143,252
113,478

63

-

•

1,449,010

■'

20,234
11,788

11,966

174,870
59,491

118,020

1,696,047
420,042

32,321

18,894
1,352

150,750
11,994

149,027

1,498

8,422

11,565

...

115,379

30,823

17,542

138,755

140,604

101,098

Miles of road operated

1,373

111,782
1.911,287
1,276,005
l,373(See this road on p. 32)

79

.

79

Total net revenue..

1

Taxes
Final net

'

6,237

HAWAIIAN
-Month of June—
1913.

EARNINGS
? ]

-jj

: r*

*

"

i

v
f

Freight revenue. .....
Passenger revenue

...

Tot., incl, other rev

Expenses—Maint.way
Maint. of equipm't.

Transportation

49,474
6,175
2,802
175

exp.

12,648

Outside

s

31,284
4,232
3,316
799.
10,279

24,944
61

operations^ net

ib,6 if

24,996
157

if058

Final net.
Miles of road operated

24,838
90

16.172

■

r

tn

Total net revenue..

,




885

69

June -

-Ju

19i2',

19£Z.

Mbhth of June
1913.
1912.

June 30—

1912-13,
9
216,618
-i,19,335

1911-12;

29,852
4,360
2,646

290.669
30,887

301,205
37,228

36,226

27,on

10

10

197

9,857

18.474

161,890

1^.615

26,177

250,363

148,742
4,630

6,259
1,226

3,674

173,685
6.978-

153,373
-5,862

"7\4p

3,414

167,706

147,510

64,629

409,671

330.078

46,405
33,918
1,635
1 31,756

31,5.52
24,591
2,183
102.781

„

1727587
1,297

-

3,065
.

"

034

6'8M

1,598

09,388

222,953
15,529

-

9

9

S

21-,874
3,245

110,652

Oahu Ry & Land Co

>

to

22,231"

>440

Taxes

—Month of

18,229
.-2,012

20,666

Tot., incl. general
Net from railroad

■

!

21,412
32,162
11,093 ••*>; 7,623

...

Traffic expenses
j

1912.

•

—July i to June 30—
1911-12.
1912-13.
$-•' 232,465
260,593

256

RAILROADS.
Mahuiui

Hilo

.

2,377
1,158

§04

.24,406

-

■> i

-

62,399
,

20.619
94,660

1:
4,976
577,

■July 1 id Junis 30—
1912-13.

*■■■

j. 546

1,162.692
118,721
82,723
7,209

19,174

23,847
5,264

1911-12.

9

804.577
277,986

711,778
222,742
1,

ik

,509

,333

82,268
6.705

166.370

148

262,609

216,824

249,800

58,280

52,678

527.247

453,839

40,306

Bt, 404

43.270

635,445

52^65

58c395

57,928

41,982
66,564

664,670
139,112

92.871

^,812

.■7,569

1,602

85,302

29

_____

-

101A

109,800
.

6,401

103.398

*

>

*d»4

94,798
102

108,546
10,89*4

97,61

55,282

690,727
74.915

615,811'

7

J§2
65.894

637.888

RAILWAY EARNINGS

50

[Vol.

*

xera

COMPANY RETURNS
All

the

figures in the foregoing

the form of the returns in such
instances the

cases

is

all

our

transcripts of the monthly returns

figures in the two returns correspond, but the company statements
purpose

any way

that each issue of the "Railway Earnings Section" shall furnish

bring together

we

on

In

and

some

expenses.

absolutely complete record of
steam railroad in the United States.
an

this and the following two pages all the company statements where they differ in

from the returns to the Commission,

In these

own,

beyond the requirements of the

go

income from investments in addition to earnings and

monthly returns, in whatever form issued, that may be put out by any

Accordingly,

filed with the Inter-State

as

Many railroad companies also issue monthly statements of their
often different from that prescribed by the Commerce Commission.

Commission and give fixed charges and
It is

are

pages

Commerce Commission at Washington.

or

where they embrace

more

facts than

contained in such returns.

are

Each company makes up its statement according to its own
conception of what will serve best to convey a correct idea of the course of its income in the distinctive circumstances
that may attend its operations or the character of its business.
We in turn give the statements in the precise form
furnished by the companies.
Obviously; we cannot undertake to reconcile differences or discrepancies that may
appear between the company figures and the Inter-State Commerce returns.
It should he distinctly understood that where the company statements are identical with those rendered to the Commerce
Commissionj we do not undertake to repeat them here. In such cases the reader must look for the figures among the detailed
statements on preceding pages, which include every steam road that is obliged to make monthly returns to the Commission.
There is just one exception to the rule excluding statements that agree with those made to the Commerce Com¬
mission.
Where the fiscal year of a company differs from that in the Commerce returns—that is, from July 1—
we introduce the road here in order to present the figures for its own fiscal year.
instances, of

course,

uniformity is lacking.

Atchison Topeka &

Chicago St. Paul Minneapolis & Omaha

Santa F«

—July 1 to June 30
;

•

1911-12.

1912-13.
•

■Month of July
1912.
1913.

—July 1 to June 30—

-2

•

•

•

'

s

35

$

35

1912-13.
"

9,142,985
6,283,941

8,959,969
6,246,898

Net operating revenue
Taxes

39,253,717 36,479,156
4,662,152
4,206,453

2,859,043
428,460

2,713.070

Operating income
Average operated mileage

34,591,564 32,272,703
10,750
10,627

2,430,583
10,890

2,332,179
10,732

Operating

expenses

'

$

♦

•

Net

235,940

17,223,996 15,371,366
12,719,724 11,249,062

1,435,383
1,122,137

1,292,990
990,238

230,991

4,504,272
2,225,338

%
214,474
177,727

Net revenue from operation

Mileage

174,881

Operating revenue
Operating expenses

36,747
27,721

charges...!

77,990
109,759

47,077

Fixed charges and other deduc'ns..

31,769

$

Operating expenses

47,771
37,353

"

4,454,705
520,546

4,344,371
511,470

315,302
46,975

306,363
43,725

3,832,901
532,749

268,327
61,946

262,638
59,041

4,540,745
2,875,483

4,365,650
2,864,833

330,274
237,039

321,679
238,847

1,665,262

1.500.817

93,235

82,831

44
244

10,418
1,680

over

charges

8,738

Month

Net

1912-13.

$

10,947,244
3,281,354

3,078,138

—7,366

-

9,542,365
6,464,227
9

3,273,988
216,000
3,057,988

Operating revenue

.

Outside operations

.

Taxes

.

1.Q18.717

.

4,076,705
1,949,714

Surplus

over

charges............ 2,126,991

,4,297.105

35,927

—14,320

3.372,977
37,534

49.700

1,179,421
48,724

4,282,779
298,200

3,410,511
291,533

1,130,697

3,984,579

3,118,978

Rio

Denver &

Grande

—July 1 to June 30—
1912-13.
1911-12.
$
8

%

1,072,384
746,404

893,219
608,821

325,979

284,398
343

Operating

—8

3,078,147
204,000

325,971
18,000

284,741
17,000

Other income

2,874,147
779,578

307,971 ».
65,921

267,741
62,060

Propor'n of fixed chgs. & rentals._

3,653,725

373,892
162,302

329,801
160,418

*

1,882,831

1,770,894

211,590

Total operating revenue

2,044,611
1,668,165

66,867

'

Balance

...

South

Shore

&

Atlantic

—July 1 to June 30— —-Month of July—
1 Q 1 o_ 1 Q

Month of July—
1913.

1912.

S

35

2,813,905
1,535,829

"Net income....
Fixed charges and taxes

1,197,391

1,278,075

520.658

549,286

Surplus over charges

,676,732

......_

76,867
10,000

74,632

98,801

169,382

2,804,080
1,606,689

....

573,311
496,443

47,761
26,871

Net imcome

474,510

559.087

Deduct: Renewal fund & ret. M.s.f.

2,057,138
1,582,628

376,446
134,880

and taxes.

Total income

!

-Month of July—
1913.
1912.

511,326

expenses

Operating income

of New Jersey

—July 1 to June 30—
1912-13.
1911-12.
f
J

Receipts
...
Operating expenses....

1,143,494

750,966

Duluth

Central RR.

754,395
—3,429

....

—

1913.

$

1912.

10,109,012
6,736,030

net

Month of July
1912.

1911-12.

' ■

to June 30—

1913.

11,691.472
7,394,367

Total net revenue

Final

1912.

2,275,294
1,131.801

701,266

earnings
operations—net

Outside

Pittsburgh

—July 1 to June 30—

of June— —Jan. 1

1913.

5,927

Rochester &

Hudson

1,953.503
1,199,108

Gross-earnings
Operating expenses

Taxes

Buffalo

&

*

7,635
1,708

—199

920

,

Delaware

_

Surplus

$

Balance available for interest
Interest

42,324
34,689

240

...

Net

Interest and taxes

5,514
5,470

1.0481895
742,531

Operating income
3,934,158
Misc. charges and credits to income
606,587

Surplus

680

...

15,077,666 13,960,925
10,622,961
9,616,453

revenue-1-

1,813

1,204,355
889,053

.$

'

1 .to July 31—
1912.
1913.
S
35

35

6,138
5,217

302,759
164,607

1,871

-Jan

of JuJtf-—

1913.

Gross receipts

°^*1912!—

1911-12.

operated

Net operating
Taxes

Beliefonte Central
-Month

Month
1913.

k

Southern

$

60,062
18,220

64,597
111,674

income

over

138,151

&

1912-13.

$
234,944

'

Additional income (hire of equip.).

Surplus

132,294

—July 1 to June 30—

-Month of July
1912.

Operating expenses

net

313,246
180,951

2,084,603

1913.

$

Revenue from operation

Total

4,122,305
2,037,701

Colorado

1911-12.

,1

14,288

2,278,933

Bangor & Aroostook
-July 1 to June 30—

1,744

1.278.708

earnings..
charges

Fixed

Ju7^——

1,421,107
14,276

other receipts

Total receipts
Operating expenses and taxes..

380,891

-Month of

1913.
1.747'

$

Operating revenues..............16,993,004 15,135,426
All

Surplus^over charges

1912-13.

1,744

'
-

116896251 107752359
..77,642,534 71,273,202

Gross operating revenues.

1911-12.

1,744

Average miles of road operated

Net operating .revenue--Other income

Total

1

net

.

1Q13

1Q19

3,412,831
2,724,490

Operating revenue—
Operating expenses

3,152,475
2,395,160

311,926
240,190

320,i43

688,341

757,314
40,696

71,736

83,485
2,590

39,144

1Q11_19

2,908

Net income or loss-.;.

727,486
1,265,005

798,011
1,160,983

74,645
102,150

—537,520

*..

Interest, taxes, &c

—362,972

-27,506

236,657

86,075
95,135
-9,059

728,789

Georgia
Chicago & North Western
—July 1 to June 30
1912-13.
1911-12.

Average miles of road operated

7,976

7,859

83,035,921 73,698,591

Operating revenues
All other receipts

—July 1 to June 30
—RJonth of July
1913.
1912.

7,975

7,345,765

7,960

6,708,801

3,348,855

138,012

41,115

Total

86,510,709 77,047,447
61,840,940 56,124,681

7,483,778
5,663,932

6,749,917
4,922,834

Net

24.660.769 20,922,767
9,985,746
9,455,437

1,819,845
777,485

1,827.082

14,675,023 11,467,329

1.042,360

1,022,680

3,474,788

receipts
Operating expenses and taxes.
Fixed

earnings
charges

Surplus

804,402

1911-12.

from transportation. 3,094,537
Revenue other than transportation
23,227

3,354,976
23,757

227,828
1,228

247,248
2,684

Total operating revenues
Total operating expenses

3,117,765
2,759,903

3,378,734
2,582,167

229,057
210,803

249,932
230,863

357,861

796,566
32,845

18,253
2.964

19,068
2,920

Total

revenue

Net earnings
Railway tax accruals

....

35,728

Other income...—

110,339

763.720
112,405

15,289
11,376

16,148
8,849

Total net income......
Deductions from income

432,473
711,730

876,126
754,618

26,666
57,494

24,997
57,664

—279,256

121,507
58,031
—58,000

-30,827

92,772
122

—340

—32,060
4,602
—1,634

—371,906

5,416

-31,173

—38,964

322,133

Operating income

Surplus
Additions and betterments

Chicago Great Western

Delayed income, debit or credit
Balance

—July 1 to June 30—
1912-13.
I

Total operating revenue

Operating

expenses

...

Net operating revenue
Outside operations—net
Taxes

Operating income




i

•Month of July—

1911-12.
S

.14,000.618 12,795,242
.10,260,142 10,006,233

—Month of July—'
1913.
1912.

1912-13.
•

1913.
%

1,195.930
874,827

1912.

Illinois

Central

*

1,069,275
793,146

3,740.470
2,293
439.419

2,789,009
—1,755
406.725

321,103
892
38,651

276,129
900
35.182

3,303,350

2,380.529

283,344

240,041

Miles
Total

revenue

—July 1 to June 30—
1912-13.
1911-12.
4,763
4,763

operated..

Total expenses
Net revenue

i
and taxes..

.....

Month of July ——
1913.
1912.

4,763

4,768

5.35^,907 5,09^,005

...64,786,414 59,220,650
53,535,566 51,407,931

4,589,427

4,482,236

7,812,718

768.480

614.701

..11,250,848

Iiouiiiana

•Moiith of July—
1912.
1913.

255

255

255

Gross

1,533,572

1,109,953

1,007,671

143,542
92,537

Net

ana taxes

income........

607,336
328,037

525,901

308,292

51,005
27,721

55,643
26,975

217,609

23,283

28,668

1

........

Charges
Surplus....

Total net revenue

1911-12.

844,456
680,004

770,248
645,517

58,220
48,216

164,452
4,928

124,731
10,220

10,003

Total

169,380
161,774

134,951
147,083

10,268
12,527

8,584
12,200

7,666

—12,132

—2,260

-3,615

Interest, taxes, Ac
Net

Income

-

.....

-

Minneapolis & St. Louis

742,786
548,347

' 2,617,373

1,443,708

194,438

19,501

18,675

2,623,844

1,462,209

213,114

195,528

Total

net

1911-12.

17,105,685
9,586,408

1,746,602
1,145,585

1,496,517
901,311

9,314,457
1,298,967

7,519,277
1,123,135

601,016
122,262

595,205
97,273

6,396,141

478,754

946,917
621,824

866,308
574,580

8,015,489
CHICAGO

Net revenue

2,941,672
418,780

325,693
47,076

278,016

Net

409,750

.....

j

earnings

Taxes

Net

income......

.........

34,203

541,332

90,340
52,423

37,9173,000

320,904

34,917

Net

operating

-Month of

Total net
Taxes

revenue

3,817
2,656,009

6,980,870
35,326

732,405
—9,660

Operating income

6,945,544
1,060,181

722,745
106,997

5,885,363

615,747

5,137,170
3,665,158

1912. *1
5,183,953
3.734,859

-

1,472,011
8,135

1,449,094
7,492

— —

...

Total

1,463,876

Taxes

Total income

—

...

1,431,998
1,322,363

112,753

-

Income

•

.

-

....

Operating income

-. —

Total income
Total deductions
Net

18,100
1,570

......

,

20,056

395

661

16,925
5,351

20,717

11,574

'

....

-

York

Central

—

-Jan

1

to

1913.

July 31.

1912.

New York Cent & Hud River

Operating
Operating

Net from railroad..

Net—outside operations
Total net

...

1

2,544,206
—35,004

Operating income—

Chicago Indiana & Southern
Operating revenues
Operating expenses

2,691.980 16,045,173
—33,168
70,581

Net from railroad

•

22,306

2,658,812 16,115,754 13,815,247
524,663
3,803,288
3,400,221

2,134,149 12,312,465
305,947
251,593

10,415,026

2.518,422
2.059,343

2,331,737
1,957,144

Taxes (one-twelfth monthly)

Operating imcome

—

54,354
621

459,079
2,192

374,593
2,314

54,975
13,000

461,272
106,977

376.907
91,000

33,933

41,975

354,294

285,907

112,966
122,264

Total net revenue

47,882
1,332
49,215
15,282

...

Net—outside operations

107,453
93,777

727,997
753,377

724,207
702,020

Net—outside

Net from railroad
Net—outside operations

Total net

.....

Total net

revenue

Taxes (one-twelfth monthly)

—9,298

13,676

—25,380

22,186

Operating income

—9,298
5,500

—14,798

13,675
5,300

—25,380
38,500

22,186
37,100

8,375

—63,880

—14,913

.........

Operating expenses
Net from railroad

...

Net—outside operations....
Total net revenue
Taxes (one-twelfth monthly)..—.

Operating income

..........




3,002,282
2,795,638

483,858

*346,957

3,315,655
2,531,375

2,902,913
2,244,238

136,901

658,( >75

—768

784,279
—5,837

21,504

136,132
20,294

778,442
151,747

654,428
145,211

116.802

Operating income.............

New

115,838

626,695

509.217

York Ontario

-

—4j 146

& Western
Month of July

July 1 fo June 30

-

Net

Surplus

...

2,602,070 18,966,159 17,296,888
1,927,938 17,077,879 13,710,925

206,644

674,132

3,637
210,282

1912.

987,904
633,979

977,781
559,746

1,797,477
1,323,748

353,925
117,075

418,035
121,184

1,211.633

earnings

Fixed charges, &c
„

1913.

8,527,944
6,730,467

2,724,216
1,512,583

Operating expenses and taxes.'...

1911-12.

9,454,349
6.730,133

New

473,729

236,850

296,851

Yprk Susquehanna & Western
-Month of July

—July 1 to June 30—

1918.

1912.

3,374,288
2,406,073

292,017
227,637

291,62®
238,27®

968,215

64,379

53,353

1912-13.
Gross

922,554

Operating expenses and taxes

Operating income-

1911-12.

3,490,447
2,567,892

revenue--

-

Miles

operated.
Total operating revenues
Total operating expenses

Western

2,021

43,739,921
28,565,813

Net operating revenues

Month of July—

2,034
3,845,726
2,558,049

2,009
39,375,237
25,669,430

1912.
2,015

3,579,849
2,266,199

14,065,807
1,147,931

1,287,677
—2,940

1,313.650
26,088

16,670,078
5,471,436

15,213,738
5,625,920

1,284,736
455,475

1,339,739
458,900

..11,198,641

9,587,817

829,261

880,839

Gross income

Fixed charges and taxes
Net

1913

1911-12.

..15,174,108
1,495,970

Other income...

income

Pacific

,

earnings
Expenses

—Month of July
1912.
1913.

728,592
592,038

'

702,758
567,180

136,554

-

—...

earnings..

135,578*

Pennsylvania Railroad System
-Month

Pennsylvania RR
Operating

expenses,

lncl. taxes

Baltimore

July 31—
1912.

4,081.264
—176,006

3,967,851 22,177,427 21,952,134
—96,161—1,137,794 —796,400

3,905,258
4,032

operations—net

3,871,690 21,039.633 21,155,734
4,021

Operating income
Miles of line operated

Chesapeake St Atl

expenses,

45,578
32,691

Cumberland

expenses,

incl. taxes

Operating income

'

37,055

51,818

55,933

88

287,202
195,287

261,319
183,901

2,051,593

1,795,623
1,282,808

77,418

627,198

760

—349

512,815
—1,938

92,154
162

_

10,318
45,615

239

.

Net operating revenue
Outside operations—net

14,578
37,240

91,915

Valley

Total operating revenues

152,884
142,566

10,300
26,755

88

Miles of line operated

174,402
159,824

12,887
22,029

....

incl. taxes

Net operating revenue.—
Outside operations—net.........

40,211
29,911

34,916

Total operating revenues

Operating

to

1913.

14,666,735 105191,200 96,696,849
11,856,516 10,698,884 83,013,773 74,744,715
15,937,780

Net operating revenue
Outside

Jan

of June
1912.

,1913.

Total operating revenues

78,178

526,849

514,753

1,424,395

162

Long Island.

1,507,267
880,797

1,317,864
759,457

6,880,561
5,438,358

6,235.931
5,058,287

Net operating revenue—...

626,470
476

1,442,203
116,507

1,177,644

operations—net.—.,

558,407
92,644

1,558.710

1,518,43®

Total operating revenues—-

.

Operating expenses, incl. taxes—

3,585,960

—339

1,888,279
—5,332

673,792
95,000

1,882,947
726,600

3,561,536
665,000

Outside

103,800

106,482

578,792

1,156,347

2,896,536

Miles of line operated........—..

—24,424

Coast Co.

—July 1 to June 30—*
1912-13.
1911-12.
Vt

Gross

Miles of line operated

Cleveland Cin Chic & St Louis

Operating revenues..

4.333,085

138,306

—-r

Taxes (one-twelfth monthly)..—

Operating

revenue

5,160,121

—922

operations...

Operating income

Cincinnati Northern

Operating revenues
Operating expenses

4,550,085
217,000

861,309

586,885
447,656

..._.

Net from railroad

13,792,941

2,509.202
535,283

320,994
273,111

5,510,321
350,200

741,895

—......T

Operating revenues
Operating expenses

9,265,907 65,967,047 59,737,780
6,573,927 49,921,874 45,944,839

1,973,918

revenue

Taxes (one-twelfthmonthly)..

—741

892,309
31,000

139,229

Operating income

Net

10,104,810
7,560,603

revenue
expenses

282
57,000

4,555,289
5,203

4,125

System

Month of July
1913.
■;
1912.

.

9,737,701
5,182,412

798,895

-

•

New

893,050

68,60®

5,512,887
—2,565

—k

.

16,592

.—...

........

income—..

1.667.265 11,690,954
774,215
6,178,067

1912-13.

21,626
1,570

16,530

...

1,742,129
943,516
798,612

"

_

—.

Other income

——

-—July 1 to June 30—

1912.
47,304
25,678

_

....

_.

318,178

Month of July

Net operating revenue
—

117,472

109,635

174,581

1913.
40,518
22,418

t

•

61,210

Norfolk &

—July 1 to June 30
1912-13.
1911-12.

Total operating revenue.........
Total operating expenses
.....

Taxes

190,272
72,800

—2,902

7,497

Nevada-California-Oregon
-

71,010
9,800

386,778

10,400
-

operations

1,441,602
184,185

_

Net

——

1.257,417

1,446,316
1,333,563

---—

386,778

l
—

■

1,273,201
173,115

.....

Other Income

Deductions

190,675

.

...

...

Railway operating income

7,497

———

1912-13.

1913

(rail)
Net deficit (outside)

1,769,684
1,382,906

190,272

Gross earnings

.

revenue

1,908,815
1,718,542

71,010

425,730

^

-July-

Net

263,237
192,227

Total net revenue

Missouri Pacific

Operating revenue..
Operating epxenses

263,736
256,238

monthly)

526,930
101,200

8,194,317

...........

.......

Taxes (one-twelfth monthly)——

525,579
1,351

9,482,221
1,287,903

...

:

1,348,486

expenses..

Net—outside

July^-—
19
3^399

1913.

2,283,431
1,757,851

Outside operations

90,287

Toledo & Ohio Central

1.923,603

9,537,846

.

*——

Net from railroad

Texas

55,625

revenue.

1,572.036
223,549

1,100,638

Pittsburgh & Laks Erie
Operating revenues
Operating expenses

32,889

3,677
3,399
32,346,258 28,186,719
....22,808,412 21,205,849

operated
Operating revenue
Operating expenses.......

1,587,988
—15,952

1,337,218
236,579

111,275

Operating income

35,089
2,200

July 1 to June 301912-13.
1911-12.
Miles

1,352,610
—15,392

36,000

Total net revenue

83,286
48,196

&

148,458
—1,182

monthly).....

Taxes (one-twelfth

1913.

351,105
30,200

Missouri Kansas

6,588,613
5,000,625

147,275
36,000

Net from railroad
Net—outside operations

Month of July——
1912.

892,437

34,400

Expenses

1,054,547
610,397
444,150

Gross earnings

7,077,054
5,724,443

128,253

Operating revenues

Mississippi Central
1911-12.

712,884

Peoria & Eastern

257,523

1912-13.

86*1,342

126,287

—

Operating income—

291,727

2,522,891

July 1 to June 30-

4,198,63®

------—

revenue.

Taxes (one-twelfth
-

Operating

3,685,691
465,156

...

4,618,527

—1,965

Total net

DIVISION

3,220,534

-

-

Taxes

Operating income..

1913.

9,578,554
6,636,882

687,622

Chicago ft St Louis

952,876
824,623

497,931

Operating income

116,000

548,069

Net from railroad
.......
Net—outside operations...——

Month of July
1912.

1912-13.

Railroad and outside revenue
10,893,990
Railroad and outside expenses.... 7,208,299

5,005,55®
5,08®

5,010,63®
812,00®

Operating revenues
Operating expenses.....—.......

Railroad and outside revenue.—..21,410,672
Railroad and outside expenses
12,096,214
Net revenues
Taxes

5,442,681
-12,153

6,430,527
812,000

664,069

.

Operating income

Minneapolis St. Paul & Sault Ste. Marie
—July 1 to June 30

799,972
3,649
803,622
116,000

-r-2,738

Total net revenue
Taxes (one-twelfth monthly)..—.

New York

8,266,341

9,354,499

2,699,236 20,671,223 17,936,629
1.899.264 15,228.542 12,931,079

666,807

Net from railroad
Net—outside operations

298

9.251,341
985,00®

1,360,134

2,966,086
2,299,279

——

9,218,839
32,51®

1,505,134 10,404,499
145,000
1,050,000

150,000

.....—

'

.

1,475,230 10,325,510
29,905
78.988

19,751

monthly)

.

.

4,444,170 33.995,181 29,490,089
2,968,940 23,669,670 20,271,259

Operating income............. 1.472,198

195,827

6,471

...

72,796
r„l

•

1,622,198

.....

Michigan Central
Operating revenues

738,978
543,151

1911-12.

•

4,960,826

Total net revenue-

Taxes (one-twelfth

•

3,858,380
1,602,446

Net—outside operations——.

-Month of July
1912.

7,826,221
6,382,513

income

434,459

•

Net from railroad-

1913.

1912-13.
9,707,003
Operating expenses and taxes..... 7,089,630
Net.
Additional

459,112

56,606

Operating expenses

Inolnding Iowa Central
July 1 to June 30Gross earnings

570,691
136,321

22,138

Operating revenues
Operating expenses......—

141

net

605,389
146,277

Lake Shore & Mich Southern

8,442

263

Net operating revenue—

93,291
20,495

(one-twelfth monthly).....

Taxes

68,315
59,872

Other income

570,691

78,744

——

Operating income—....—....

1912-13.
revenue...

605,389

Net—outside operations.—......

-Month of July
1913.
1912.

—July I to June 30-

expenses..

3,113,316
2,542,625

93.291

Net from railroad—..........

Mineral Range

Operating
Operating

3,371,894
2,766,504

78,744

Operating revenues.....—...——
Operating expenses..—....... ...

146,102
90,458

279,299

earnings

Lake Erie & Western

255

1,717,289

Miles of road operated

Jan* lj to July 31
1913.
1912.

—Month of July
1013.
1912.
101!
$
$
459,756
495,637
366,465
416,892

& Arkansas

—July 1 to June 30—
1912-13.
1911-12.

Expenses

31

RAILWAY EARNINGS

Sept., 1913.J

..

Operating income.............

626,946
399

,

340,791

32

IVoiv

RAILWAY EARNINGS

-Moiith
-1918,

of

Rutland

-Concluded

PennsylvanU Railroad System

~

912.,

'

r.-^f:pperat^*«veBue^VJJ^»
Outeide

%

18343

,

Milesdf line operated.

23,204-

...

i
Net operating revenue^.
Outside operations—net.-**

Horthern

.

-'69,812

'■

110.341

1/002,911

_

Average miles operated-'. .

OpbrAting

,

ri

eip^Os and taxes.-www

Net operating revenue...
MResoflineoperated--4—.

8.35,686
551365

*

taxes.

;73Q

_

^Operating income... 4
Miles of line operated.

J....

3..—..

mm

568,746
—27,684

341,983

336,810

541,062

347,284

278,895

;

»C-

3,534,851

—5,301

NiSret operating 'jperenue&v284,321
Outside operations—net, ww.
■
*-~5,425

f

■

356

,

if

^

J,

V.

.

Other income,

v-

i-w L—. ..

xAOp^iitlng
4

6,075,092

17,770

—44,81

1,751

1,751
\ a-

_

brimd Rfctfdk'-* Indian*

.38

1.

1,660,534

to(Come_...;fc>..
of
linef operated,

7,656.339

6,119,904

-

i»ja

.

7,638,569

a

Total operating revenues
497,594
Operating expenses, incl,. taxes,., v.
r421,506
.^ Net
bperatiiig tevenue-.. Liu
*" 76;088
Outside pperataons-r'net..w.w w... *;',.:, 880
.....

2,827,146
249,969
1,1"

81

-

92,97.0
587

Operating incOme—
76,968
Mllespf, line operated,:. vs. w>, v vv- - - \ ",,.578

.

t,

'

316,468

vs.;

Pittsburgh Cincinnati Chicago & St Louis
3,608,011 24,980,684
Total pperating,revenues.iin i t * — 3,815,486
2,711,056 22,242,530
Operating expenses, incl. taxes..^. 3,137,545
2,738,154
896,955
677,941
.operating revenue- ■.». r..—-—-752
—3
4,785
e opOTatlons—net-^..
*

vV

.

.

.

8,435,563
5,430,828
5,632

Milee. of road operated.

. . ... .

jV Vandalia ;
„l. 1- w"'
; .•
Totaloperating rbvfenues-^.w,..
■

■

.

....... .

5,485,196

881,364
717,977

6,25f ,288
5,47i ,187

v.£.173,387

784,101

9lQ:Wy- .„827

c

<2\fonth

\

of

.

846,458

I/819,13^
1,239,320

_Net earnings.....—m......
Interest
wtw-ww-s.
w

44,202

40,110
,30,916

562,628

579;810

c31,933

-355,227

346,107

12,269

9,194

207,401

233,711

,

...1

Surplus above charges—v.

mm'lm1;'

Louit Southwestern

St.

—~Juty> 1 to June 30—
912-13.

t'k'.

Jan. I to July 31—
1913.
1912.
S
>
-<:;v

i/-Net revenhdl:.—..^. 4,081,152
Taxes and deficit outside operations

Railway operating tncome.vw—w
Other Income

————

—

j'.

Total oper. exp. (incl. taxes accr:)_26,834,143

24,106,.344 183882,555 162200,441,

Net operating revenu^.^..^. 8,268,346

9,001,092 37v227,077 41,964,428

1912-13.

—Month, of July—1913.

1911-12.

iA-iti

.....

265,205
242,971

386,945
226,261

1,617,619

22,233

160,683

South^h

1,340,292

10,312

«A- -vA.i

.

245/803

'

N^t .earnings.....

167,132

Net earnings of ail companies...—
Proportion of annual fixed charges
and taxes of all cos. (estimated).

—w-

473,341

Net

44,208,009 39,412,888

3,417,068

7,559,139
4,203,251

over expenses

and taxes.

Toledo Peoria & Western

848,500

Bio

Grande Junction ;
-Month of Jxine^—
1913.
'■

I

Interest
-■i.

r

'

1912.
$'

- - - -

Rio

1^76/599

114.200

109,t45

1,046,017

106,317

83,776

252,596
73,573

230.582
58,314

326,170

"288.896

291,937

286,593

34,232

2,304

-9,026

^6/680

—July 1 (0 June 30—
1912-13.
1911-12^

Month
1913.

of July-!—

Operating expenses._w..........i
;"-.Net earnings.v——
——Other

income^ v . v
Total net income—.

,

Fixed charges, &c..—.....-——

.Surplus

w.

'

operated.^.. J

/T

.13,660,

-f)ec, 1 to June z6—
1912-13.
1911^12.
525,497
157,649
58,333
99,316

8,333
'

16,314

506,031
151,809

58,333
93,476

Grande Southern
1913.

1912.

*

Total

Net

expenses

19,430
2,800

7,352
2,800

16,636

4/552

655

2,784

17,291
16,982

7,336
16,514

308

-9,178

'•

,

*

L.

a.

-

A

■

-

-

'

^Operating income- - - ... v i - -—-

Other incomei.ivvv-.---i.-i.iw---.
..iw—.w...»

mim —1m

-w

tm

......

Bock fslahd Lines.
'v

over expenses

34,041/965 31,219,413

and taxes

';
ti
1912-13.
Average milos operated—8,048

_

2,697,61!

Virginian Railway

3,369,448

—July 1 to June 20—
1912-13.
1911-12.

Month

474

503

6,189,760

4,928,193

3,588,456

3,165,992

497,394
294,947

254,007

lnee'iAia-.w..w 2,601,303

1,762,201

202,440

149,874

operated.ww.wi.w

GrS!n<^eu~j"-!™.--ww.vw!
taxes

/,/ /:.; i..' "

...

•;

:

491

-

of July1912.

474
403,882

Other Roads.

T,

in the following we show the gross and net earnings of & few
roads where the cdmftahy returns and the Inter-State Cdfcuheyce

1913.

Baltimore & Ohio

1912.
$

•

-

,

ilJuly Net1912.
$

1913.
.....

i

.

,

■

432,289

374,260

96,066

97,690

8,838,810

8,052,885

2/692,809

2,392,411

Alabama Great Southern
......

Ihd & Louisv—w.i.....

Chicago

581,890

544/283 1

163,079.

136.059

Fac..——

820,467

776,819

246,972

251,799

38/067

Cine New Orl & Texas
Denver & Salt Lake

109,598

116,267

43,638

Mackinac

111,303

110,385

28,757

24,085

2,354

430

—1,068

260.060

Detroit &

„

....

—July 1 to June 30^ '-^^Moirith of July1913.'
1912.
►
1911-12.'
- —
7,999
8,036
8,042
$ :r

.

4,449,136

__

,

Net 6perafcing revenue.Less taxes.,...

Surplus or deficit..

381,034

5,124,997*

—July Gross—y—

38,262

TotAl net Income
Interest, &c—

4,068,102

414,475

and taxes.......58,696,493 54,758,195

55,1
47,927

»

4,710,521

-4,368,788

^,149

Operating expenses...www...54,030,216
Taxes'w
—ivvwwwww.-wwvw
w...
4,666,276

.*■ -

57/698

Operating revenue......
Operating expenses.....

.

50,380,407

,505

•returns" W usually-in. accord,' butior which the Commerce state¬
ments for July have not yet heen received.
„.,,

Month of July—

July X to June'30—
1912-13.
1911-12.

30,368
,679
23,r"

197\25T
7,8ll,584

*

85.977,609

Corporate

$

.4,499
,

7,822,609

7,349

revenuev v> t—- - ----- w ww--—.93 »638,458

*982,568

.

25,869

Union P&cifife

Averasre inildage

82,159
24,648

73,312
21,994
8,333.

Gross earnings....-v—
30% of groiss.U—

Surplus.

,!

1912.

8

$

...

1,391,927
1,139,330

Railroad and Outside revenue——

838,960

569,700

1913.

"

S

i

V—

—M&htiiof JUM-^—

-July 1 to Juno 30—
1911-12.
1912-13.

1,821,528

Surplus

7,085,798

517,443

165,483

1,418,200

10,293
$•

7,826,498

—

------ - -—--

„

_

8,343,942

Reading Company
Net income.

,

98,566,696 92,112,282

•

-89,224

—

10,322

Total expenses and taxes...

3,003,596
2,757,793

1912;

1913.

Operating expenses...——92,869,410 86.491,043
Taxes!—
—v—
6,697,286
5,621,239

Se milds Qf toad

2,151 ;431

^

-t-Mtiriih of July •' ''

9,970

revBnue.-yv-.-—ww-142774705 131525,170 11,761,010 11,762,390

1,410,241

.Coal & Iron Company

.

Pacific

—July 1 to June 30-?1012-13.
'1911*12."

•"iV':

3,984,167
2,573,925

Receipts- 2,062,2Q7
Expenses'.. ^

89,836-

4,047,915

Average miles of iroad operated——

1912.

4.021,039
2,680,747

------

—- --

. . -

35,299

4

2,430.296

1

Nr et earnings.

331,301
55,643

5,643,138
income

'

,

366,600

175,368

473^)56

»

2,757,049

Gross income.. vv
gross

Deductions from

;•

ftfeadih& Cdmpany
-—July 1 to June 30-

716,796

225,360
-49,992

3,150,071
897,843

3,599,816
1,043,322

XT

l,"ol^8(

1,034,059
808,698

-3

3,623,127

1 481,336

,

revenuei.i.-i.ttii.-35,i02!,489"33,107,436 221109,632 204164,869

Railway Company
-Receipts
Expenses, incl. renewals, &c__-—

1913.

,296,949 12,042,542
O'pdi^ating revehuet.—^
. z- * -1
8,419,414
Operating expenses—..v.——t.— 9,21$,796

148060,049 136890,669

3,144,521 To,013,515 14,406,730

Total operating

-—Month of Jul\

-

1911^12:

$

operating

2,646,366

19U-12.

1,520,937

revenue—.11,719,781 11,133,771 73,049,583 '67,274,200
(incl. taxes accr.). 9,073,415
7,989,250 63,036,068 52,867,470

Net
revenue—......
-Lines East and JYeaf—
i." •
..>

i,..y:

1912-13.

-113,214

44

Total oper. exp,

Total operating

m.,

154,976

v r'-.'«""

i

■

& Pacific

y— —JuhJ 1 to Map 31
Of May

^/d83/56h

Total oper. exp. <incl. taxes accr.). 17,760,728 16,117,093 120846,488 109332,973
Net Operating revenue...5,621,'980
5,856,572 27,213,561 27,557,696
>'/Linos West-~<

ittoiihtain

r.-

July

i
1943.
1912.
j
Litoe*East-±«,f ;:\i
'■ 1„■
$
Jbai operatliog revenue, sii. i>*« .i .23,382,708 21,973,685

656,599

'647,988

153,324

Pennsjivariia S^steln^llast •<& "Woki df Ht^sburgh
;

>

^

,|JI

*9078

"

„

,788.807

v.,...

•.

—

J1'.

792,755
20,823

013.57$

Gross eamlnfes
Expenses and fcaxesi._v.w-wvwv_

5,701/075

-

202,209

.

7^ L

i

r

1913.

<

'78,675

Operating expenses, incli taxes....
^SSTfeh Operating reVenud-.-.-—-Miles of line operated.
T.

-

2,733,869

mm

2,047,590

758,490
30,316

....—

Net irieoBeew'w.-w.v--vww_wv-vw 1,885,188

896,193
1,467

677,938
1,472

1,912.277

irii

'

L-

t

•

r-Motith

..

.

- - -

SA-XCi

3,866,391

.

.

I ^Cpemtlngf ^ipcorne. - -

■

*

Loilii Bockjr

322,182

251,268

v?^;vr

,

"

incdhae.—-w—^ wZ——lI i,

—5,714

92,889

.4

r-

Sitrplus aftfer chAiges—i—-vi.

5,964,616
5,642,434

3,077,115

468,898
376,009

n

'

•c

.vwyit— -

_

^

/

1912,

""*
r

qiax«ee.^.:rr.^—...-~

356

1,970,317
—4,479

;

1913.

1911-12.

t I'-t", ,A

—Net; After taxerfw———vwwii-.vw

St;

.. .

86,646

of Juno-— —July 1 to Juno 80—

-r^Month

*»

1012-13.

«rJU.

S3,464,^

4

942,541
1,029,187

317,857

5,994,820 37,336,285
4,024,503 -31,216,381 25,838,204

Ojperating expenses, fticl. taxes.
4,541,716
Net Operatfag revenue..-1—
1,671,919
Outside operations—net... .. — —
11,385

58,409

986,815

w.

Gross
w
Expenses .-,vivi.-w..v4.>.w.-^Vv*iwi

'Hj

2,966,103

884,131

1,304,672

S'lSZI'i-

;

1,870,716

3,482/.
3,U4,(

,014

.

2,586,849

1,234,796
69,876

>

♦

71i
e"

2,694,720

-si'av'

Louiy irbli fildhhtain & SoUth%*a

9,451,801

1,452,367

3,^(1,981

4

^

1319,020 10; 112/288 11,322,517
371,32)

a

^

charges vw'-wv--vvviw-www-w;

Surplus

1,448,595 10,659,921

/■( ^5,254

3;929,516

-*

■

Total income..——.V—S.W-V
Fixed

"

186,243
713

:

360,659

374,539

1913.

Miscellaneous income—-

358,445
; 2,214

128,886;
473

472

-

& Washington -t t
ToM operating revenues.1,786,010
Operating expenses, incl»taxes
1,599,767

-Mdhth'o.

1911-12.

..-5^54

"*Operating ihQbme..."

654

97,635'
1

363,404

... ..

7,073,i513

128,232

pbiiadelpkla! Balto

Miles

w.

reVi0hu4

6,715,068

I'iloilii

934,679

„

«n^cw:-afart»

250,958

to 1June -30—

112,

.

Miles. ofUne operateI.vv

84,185

1912-13

1:.■■

507,212

484,633

110341

112

K/Dfc&aiing; inboi^e^.......

445,280
'81.876

St Louis & Stth Fraucisco

;

Central
.

369,922
118,963

^ 75,651
San Francisco Lines

&

6'perating
.

*

Lotiih

St.

l'*) .''SVwwVWi,,

109,531

.

12.683

Income..-.—.^.w-^v ^

607,212

484,633,

„.

L-Vwi'-i---'

w wi. —w—

96,868

17l024

'

TTbS/sST

.

2,651,656
1,543,842

139,383

23l;446

£vrjd5
02.675

.

^Total net revoiiue-—;wvv's/;c:
Taxes (one-twelfth monthly) .1...

31.12*

:113I

,412,662
-303,031

Total opiating revenues.
1,111/'
Operating expenses. incl .taxes,... 1,015,192
£ Nbt 'operatLng.'reVenueS,.^ —v
96,523
Outside operiwoha-^netw
1,112

-

*52,658

42,510

328,314

92,691

Net revenueoutside operations...

—^4

'

Operating incomexw. J* .v, itw. i-

; >

5

347^792

.wi—ww—w.

NetdpQratiflg revenue....

Operating

Mew York Phila & Norfolk
Tdtai operating r©venues_u.

Operating expenses, lncl. tares....

Miles Of line operated. .

—21,531

20,615

84

-

uwv.

.

WM%

>

L

30—

1913.

1912.
S

255,100

revenues--...w--ww.w-

Opbrating expenses. - .

88*779

23,388

-

-

Operating

78,060
106,262

228
*■■

^Operating iw$omb=rww..ZnA*u

■

18,360'
«-18,132

20,849

—2,206
-25,407

*

operai^ti£*-net.—w—....

'

■

*

-

-Jan. 1 to

July—

of

xPf,

"'

TdteloMratln^ Tev'enue8-www~w-Tw-ww ;
Operating expenses, incl. taxes....

t

,

—Month

31—

Juh

July—m,
Jul]
'

1912.

xcvn.

Fairchild & Northeastern

w—.

,,

2,809

^

Hocking

M.015.

690,036

244,092

Kansas

813,884

833,797

283,723.

202.^45

Ohlpvwvwww.wwv—w-w- 1,057,019

942,925

266,658

238,905

.

.

Operating revenue
wvv-—-.71,3.64,035 64,712,853
Operating expenses...—.........52,504,102 46,759,494
Net operating revenue^— *. 4 -^.18,860,833

.

17,953,359

Out^|ddppei^t)Qhs (debit).-ii.*...
,

Total net revenue.—w-v-wf—

'9X9*

w-^w--

^717,883

4,576,911

4,141,551

1,21.6,795

.1,576,332.

.

u

9,946,4§7

17,365

21,187

1,195,608'
2,793,315 ..278,688

OpsvaUng incmne.:—---v--w—15,914,398 15,160,044




5,793v706

916,920

1,558,967
;

239,389

1,319.578

City Sbuthern....

ttdfoar#

Tidewater

f bleio St

f

&

^^islbero.^v.ww^—

Lbiiis & Weston. J,

,2;033

■

—

Miss&fii&l Vahbfci.—

.

t

4^,985
80^,030

- -

289^30

139,386

720.107

38/661

.

59,926

ssvw0,b96