| Cost of Land, Buildings and Equipment on January 1, 1918 | $44,160,773 |
| Land and Buildings | 20,811,830 |
| Equipment | 23,348,943 |
| Inventory Value of Equipment owned on January 1, 1918 | $13,735,058 |
| Total Express Charges | $222,860,373 |
| Other Operating Revenue | 6,594,815 |
| | —————— |
| Total | $229,455,188 |
| Operating and Other Expense | $229,639,493 |
| Deficit from Operating | 184,305 |
| Other Income | 4,471,292 |
| Gross Income | 4,286,987 |
| Deductions from Gross Income | 1,538,481 |
| | —————— |
| Net Income | $2,748,406 |
| Dividends | 2,508,044 |
| Profit and Loss Balance | $24,294,792 |
| Total Investment, Including Real Property and Equipment | $123,484,515 |
| Capital Stock | $59,008,600 |
| Funded Debt Unmatured | 20,736,500 |
| Money Orders Issued: | |
| Number | 16,035,002 |
| Amount | $145,934,982 |
| C. O. D. Checks Issued: | |
| Number | 8,612,106 |
| Amount | $143,832,226 |
| Limited and Unlimited Checks Issued: | |
| Number | 236,071 |
| Amount | $108,798,279 |
| Telegraph and Cable Transfers: | |
| Number | 88,146 |
| Amount | $136,809,746 |
| Travelers' Checks Issued: | |
| Number | 1,608,037 |
| Amount | $34,923,816 |
| Letters of Credit Issued:[1] | |
| Number | 1,539 |
| Amount | $4,126,154 |
| Revenue from the above six items and other sources, other than Express | |
| Charges | $6,594,815 |
| Maintenance Expenses | $6,527,766 |
| Traffic Expenses | 925,033 |
| Transportation Expenses | $98,583,724 |
| (Employees' Wages) | (55,820,701) |
| General Expenses | 7,684,534 |
| (Salaries and Personal Expenses) | (4,161,299) |
[1] Including 569 Postal remittances to the amount of $39,435, issued by the Canadian Express Company.