Documents of the City of Boston, Issue 43 |
From inside the book
Results 1-3 of 33
Page 37
... period before Public Control . 4. In 1939 the Trustees retired a group of cars of $ 425,760.08 book - value . After deducting salvage of $ 9,772.70 , they charged the replacement fund with the entire balance of $ 415,987.38 . These cars ...
... period before Public Control . 4. In 1939 the Trustees retired a group of cars of $ 425,760.08 book - value . After deducting salvage of $ 9,772.70 , they charged the replacement fund with the entire balance of $ 415,987.38 . These cars ...
Page 46
... period , and still have a balance remaining . Let us now look at the situation as it had developed by the end of ... period before Public Control , there was left to the Trustees the following balance : $ 13,518,000 00 8,173,579 95 ...
... period , and still have a balance remaining . Let us now look at the situation as it had developed by the end of ... period before Public Control , there was left to the Trustees the following balance : $ 13,518,000 00 8,173,579 95 ...
Page 53
... period : $ 13,748,174 29 3,435,943 36 portion of retirements up to December 31 , 1928 , which are attributable to Public Control period . $ 10,312,230 93 balance of depreciation charge remaining after replacement of all property retired ...
... period : $ 13,748,174 29 3,435,943 36 portion of retirements up to December 31 , 1928 , which are attributable to Public Control period . $ 10,312,230 93 balance of depreciation charge remaining after replacement of all property retired ...
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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