Surplus from operations of year ending June 30, 1896.. Surplus on June 30, 1895 (from "general balance sheet," 1895 report)... $813, 513,33 $1, 014, 624.13 $1,014, 624.13 $752,933.57 $192,500.00 $192,500.00 $192,500.00 Rents Received from Lease of Tracks, Yards and Terminals. $600,000 605, 000 300,000 230,000 $1,735,000 (Page 43.) Repairs of roadway. Renewals of rails.. Renewals of ties.. OPERATING EXPENSES. MAINTENANCE OF WAY AND STRUCTURES. Repairs and renewals of bridges and culverts.... Repairs and renewals of fences, road crossings, signs and cattle guards.. Stationery and printing. Other expenses.. Total....... Amount. $525, 209.61 127,918.20 70,540.59 95, 902.39 29,791.07 96, 673.50 5, 566.03 248.20 3, 878.68 $955, 728.27 |