1,102,600.00 $6,600,000 00 $8,550,000.00 $8,550,000.00 $57,221.00 $7,365,300.00 $4,972,100.00 818,700.00 430 453 2,967,000.00 2,965,800.00 23,935.00 2,460,000.00 2,460,000.00 19,870.00 2,460,000.00 2,460,000.00 1 1,500,000.00 1,500,000.00 12,397.00 492,800.00 492,300.00 116 115 18 820,000.00 1 a therefore omitted. "An assignment as between steam railroad and street railway properties cannot be made accurately," and the item showing total issue per mile of road is b of this amount $22,139,500.00 is reported as "receipts ouistanding for installments paid.' TABLE IV. - FUNDED DEBT AND WORKING LIABILITIES. "An assignment as between steam railroad and street railway properties cannot be made accurately." TABLE V.-COMPARATIVE GENERAL BALANCE SHEET. — ASSETS. a. $1,066,916 69 of this amount is reported as expended from July 1, 1907 to June 30, 1910. The total cost of road", "cost of equipment ","general expenditures" and "floating equipment, street railways and other properties" as reported by the New Number. TABLE VI-COMPARATIVE GENERAL BALANCE SHEET-LIABILITIES. RAILROADS. $8,550,000.00 $10,873,625.00 $3,117,472.58 $451,481.94 $51,196.77 161,648,145.25 232,527,303.98 15,928,772.23 2,885,825.89 8,356,330.82 $12,221,745.29 14,196,253.47 450,764,376.93 3,006,600.00 1,200,000.00 63,865.00 40,000.00 30,011.51 16,000.00 1,112,039.29 5,398,504.29 59,865.64 129,877.15 a Actual amount issued and outstanding. $183,174,745.25 $249,964,974.89 $19,373,451.58 $3,438,117.83 $8,407,527.59 $12,221,745.29 $18,192,024.92 $494,772,587.35 bStock liability for conversion of outstanding securities of constituent companies." |