Copyright & Fair-use Agreement
UNLV Special Collections provides copies of materials to facilitate private study, scholarship, or research. Material not in the public domain may be used according to fair use of copyrighted materials as defined by copyright law. Please cite us.
Please note that UNLV may not own the copyright to these materials and cannot provide permission to publish or distribute materials when UNLV is not the copyright holder. The user is solely responsible for determining the copyright status of materials and obtaining permission to use material from the copyright holder and for determining whether any permissions relating to any other rights are necessary for the intended use, and for obtaining all required permissions beyond that allowed by fair use.
Read more about our reproduction and use policy.
I agree.Information
Digital ID
Permalink
Details
More Info
Rights
Digital Provenance
Publisher
Transcription
UUIOII PACIFIC RAILROAD COMPANY Statement R e fle c tin g D is trib u tio n o f Expenses between R ailroad Company and Las Vegas Land and Water Company on Water F a c i l i t i e s Owned by R ailroad Company and used jo in t ly . In te r e s t (RR f a c i l i t i e s - 6$) Reserve - D epreciation (4$) Insurance faxes Maintenance and Operation POfAL f o t a l Amount #10,397.86 6,931.91 25.00 3,032.71 600.00 #20,987.48 R a ilroa d Proportion #1,616.87 1,077.91 3.89 471.59 93,30 #3,263.56 LVL&WCo. Proportion #8,780.99 5,854.00 21.11 2,561.12 506,70 #17,723.92 Gallons furnished - 1935 211,373,000 907,437,300 Note: 1934 expenses prorated on basis o f re s p e c tiv e usage and charged to Las Vegas Land and Water Company, 1/12 each month during 1935. Basis o f d is tr ib u tin g above expense: Gallonage furnished RRCo - 1934 160,021,100 15.55$ Gallonage furnished LVL&WCo - 1934 876.933.000 84.45$ 1,036,954,100 100.00$ LAS VEGAS LAND AND WATER COMPANY Statement of Earnings — Year 1935 Per M Gals. Revenues: #51.664.02 #.056$ Expenses: Maintenance $3,832.94 $.0042 Rent fo r pipe lin e 17,723.88 .0195 (Paid RR Co. shown above) D epreciation 1,380.57 .0015 faxes 5,312.00 .0059 General Expenses 8.336,46____________________________ .0092 TOfAL EXPENSES ____________________ $36,585.85_______ $.0403 NET REVENUE #15,078.17 #.0166 Percentage o f annual earnings based on book value o f water system - $89,851.29 = 16.8$.