Documents of the City of Boston, Issue 43 |
From inside the book
Results 1-3 of 8
Page 24
... months , between the old replacement fund of $ 616,323.98 and the new fund , which was accumulating from the charge of $ 167,000 a month to the cost of service , they discontinued this procedure when it became apparent that the old fund ...
... months , between the old replacement fund of $ 616,323.98 and the new fund , which was accumulating from the charge of $ 167,000 a month to the cost of service , they discontinued this procedure when it became apparent that the old fund ...
Page 28
... months ) 1919 1920 1921 Month . $ 112,928 28 1,653,853 07 1,973,165 10 2,382,823 77 $ 6,122,770 22 Total for 3 years . Now , as we have seen above , of this total sum only $ 468,872.13 is attributable to the period after June 30 , 1918 ...
... months ) 1919 1920 1921 Month . $ 112,928 28 1,653,853 07 1,973,165 10 2,382,823 77 $ 6,122,770 22 Total for 3 years . Now , as we have seen above , of this total sum only $ 468,872.13 is attributable to the period after June 30 , 1918 ...
Page 29
... months ) 1919 1920 $ 1,002,000 2,004,000 2,004,000 2,004,000 $ 7,014,000 1921 Total If we add to this the sum of $ 616,323.98 from the old replacement fund , we have a total figure of $ 7,630,323.98 . This figure was ample to take care ...
... months ) 1919 1920 $ 1,002,000 2,004,000 2,004,000 2,004,000 $ 7,014,000 1921 Total If we add to this the sum of $ 616,323.98 from the old replacement fund , we have a total figure of $ 7,630,323.98 . This figure was ample to take care ...
Other editions - View all
Common terms and phrases
actual addition amount amounts charged analysis annual appears attributable authority balance Beeler began betterments Boston Elevated Railway capital cars charged to maintenance City of Boston clear Commonwealth Company completely consider considerable construction continued cost of service course Court created December 31 deducted Deferred Maintenance deficit Department depreciation charge determine Elevated Railway Company entire equipment estimate examination excess existing on June expenditures expenses fact fares figure Finance Commission impairment increased June 30 limited losses ment months necessary occurring operating condition original paid past period physical plant possible powers prior private management problem projects proper charge Public Control question reason records rehabilitation replacement fund reserve result retirements road schedules seen shown situation stockholders Street taken tion track true Trustees yearly