TABLE 38.-Operations of the Puerto Rico Communications Authority, fiscal year ending June 30, 1945 compared with fiscal years 1944 and 1943 1 Derived from interchange of calls with the P. R. Telephone Co., money paid on calls originating at stations of the P. R. Telephone Co., miscellaneous income. ? Money collected by field offices for the cable companies for cables sent; number is included in "Paid Messages Sent". Source: P. R. Communications Authority. TABLE 39.-Combined capital stock owned and issued by the P. R. Development Company and private investors as of June 30, TABLE 40.-P. R. Development Company: consolidated balance sheet, as of June 30, 1945 1 Consolidated statement of the P. R. Development Co. (including Traffic Division), and its subsidiaries, the P. R. Cement Corp., P. R. Glass Corp., P. R. Pulp and Paper Corp., and P. R. Clay Products Corp. Source: P. R. Development Company. TABLE 41.-Personnel and pay roll, Puerto Rico Development Company and subsidiaries, fiscal year 1944–45 1 This plant was in operation for only three months of this period. 2 Averages for months operating. Source: P. R. Development Company. TABLE 42.-Land Authority of Puerto Rico: Area and value of land purchased during fiscal year 1944-45, and to June 30, 1945 1 This figure includes 247 cuerdas expropriated by the Authority, the value of which has not as yet been fixed by Court. Source: Land Authority of Puerto Rico. TABLE 43.-Income and expenses, Cambalache Project, crop years ending July 31, 1945 and 1944 TABLE 44.-Land Authority of Puerto Rico: Receipts and Cash balance on July 1, 1944.. Receipts: Bonds of the People of Puerto Rico. Item Grop financing-Proportional profit farms. Rents-Proportional profit farms.. Reimbursements of deposits in courts for condemnation proceedings. Advances to proportional profit farms of supervision, etc.. Cash reserve-proportional profit farms.. Other receipts... TOTAL.. Total receipts and balance... Disbursements: Land.. Crop financing-Proportional profit farms.. Expenses-General administrative.. Deposits in courts for condemnation proceedings. Buildings and other constructions... Agricultural equipment. Work animals... Automobiles and trucks. Advances for supervision and auditing. Building materials for houses. Office furniture and fixtures. Other expenses.. TOTAL.. Cash balance on June 30, 1945.. SOURCE: P. R. Land Authority Amount in dollars 1,713, 533 2, 000, 000 351, 191 46, 701 14, 673 14, 651 14, 609 8, 794 2, 450, 619 4, 164, 152 1,336, 830 1,063, 522 308, 258 147, 769 124, 132 98, 128 45, 773 42, 620 32, 680 27, 522 14, 678 6,793 3, 248, 705 915, 447 |