Cost of Land, Buildings and Equipment on January 1, 1918$44,160,773
Land and Buildings20,811,830
Equipment23,348,943
Inventory Value of Equipment owned on January 1, 1918$13,735,058

Total Express Charges$222,860,373
Other Operating Revenue6,594,815
——————
Total$229,455,188
Operating and Other Expense$229,639,493
Deficit from Operating184,305
Other Income4,471,292
Gross Income4,286,987
Deductions from Gross Income1,538,481
——————
Net Income$2,748,406
Dividends2,508,044

Profit and Loss Balance$24,294,792
Total Investment, Including Real Property and Equipment$123,484,515
Capital Stock$59,008,600
Funded Debt Unmatured20,736,500

Money Orders Issued:
Number16,035,002
Amount$145,934,982
C. O. D. Checks Issued:
Number8,612,106
Amount$143,832,226
Limited and Unlimited Checks Issued:
Number236,071
Amount$108,798,279
Telegraph and Cable Transfers:
Number88,146
Amount$136,809,746
Travelers' Checks Issued:
Number1,608,037
Amount$34,923,816
Letters of Credit Issued:[1]
Number1,539
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 Expenses925,033
Transportation Expenses$98,583,724
(Employees' Wages)(55,820,701)
General Expenses7,684,534
(Salaries and Personal Expenses)(4,161,299)

[1] Including 569 Postal remittances to the amount of $39,435, issued by the Canadian Express Company.