View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

•^OFCGW-.

H.12

FEDERAL
RESERVE
statistical release
COMMERCIAL AND INDUSTRIAL LOANS OUTSTANDING BY INDUSTRY
C o m m e r c i a l and i n d u s t r i a l l o a n s d e c r e a s e d a n e t of $ 6 7 6 m i l l i o n a t
weekly r e p o r t i n g l a r g e commercial banks d u r i n g t h e week ended J u l y 23, 1975.
The p r i n c i p a l n e t d e c r e a s e s w e r e $125 m i l l i o n i n l o a n s t o b a n k e r s
a c c e p t a n c e s , $101 m i l l i o n i n l o a n s f o r m a c h i n e r y and $82 m i l l i o n I n l o a n s f o r
other public u t i l i t i e s .
The l a r g e s t o f f s e t t i n g i n c r e a s e was $ 2 8 m i l l i o n i n l o a n s f o r t e x t i l e s ,
a p p a r e l , and l e a t h e r , a l s o $28 m i l l i o n i n f o r e i g n c o m m e r c i a l and i n d u s t r i a l l o a n s .

BUSINESS OF BORROWER

C MAM CP F t t i i * U F F r
JULY 1 6 ,
JULY 2 4 ,
1975
1974

OUTSTANDING
JULY 2 3 ,
1 9 7 5 P/

pwnen
DEC. 3 1 ,
1974

U N MILLIONS OF DOLLARS)
DURABLE GOODS MANUFACTURING - TOTAL
PRIMARY METALS
MACHINERY
TRANSPORTATION EQUIPMENT
OTHER FABRICATED METAL PRODUCTS
OTHER DURABLE GOODS

19,300
1,991
7,134
3,546
2,533
4,096

NONDURABLE GOODS MANUFACTURING - TOTAL
FOOD, LIQUOR, AND TOBACCO
T E X T I L E S , APPAREL, AND LEATHER
PETROLEUM REFINING
CHEMICALS AND RUBBER
OTHER NONDURABLE GOODS

14,088
3,142
3,323
2,493
2,890
2,240

MINING (INCLUDING CRUDE PETROLEUM 6
NATURAL GAS)
TRADE - TOTAL
COMMODITY DEALERS
OTHER WHOLESALE
RETAIL

-

+
•
-

+

5,078
12,907
1,062
5,596
6,249

-

241
20
101
24
44
52

—

-

+
-

•
-

-

2,063
126
1,482
365
411
661

•

-

-

2,926
5
1,555
258
347
761

35
14
28
6
66
5

1,498
862
853
•
801
—
301
283

•
-

21

•

726

•

99

58
7
40
11

-

1,957
374
706
877

-

2,505
1,006
1,114
385

-

2,149
362
200
1,587

-

—

2,407
1,742
175
+
243
479
254

'

TRANSPORTATION, COMMUNICATION, AND
OTHER PUBLIC U T I L I T I E S - TOTAL
TRANSPORTATION
COMMUNICATION
OTHER PUBLIC U T I L I T I E S
CONSTRUCTION

-

141
23
36
82

-

663
19
98
546

+

24

-

318

10,765

-

66

-

970

-

1,165

2,224

-

125

•

675

•

574

4,847

•

28

-

107

•

606

9,770

-

42

•

302

-

246

5,575

SERVICES

BANKERS ACCEPTANCES

FOREIGN COMMERCIAL 6

15,230
5,973
2,231
7,026

INDUSTRIAL LOANS

ALL OTHER LOANS

TOTAL C L A S S I F I E D LOANS
TOTAL U N C L A S S I F I E D LOANS

TOTAL COMMERCIAL 6 INDUSTRIAL LOANS

/
PRELIMINARY.
Digitized Pfor
FRASER
.*
SAN FRANCISCO DISTRICT CLASSIFIED. LOANS ARE AS OF .T1IT.Y Ifi


99,784
21,269

121,053

197S

-

-

268

635
41

5,873
+ 1,088

-10,427
166

676

—

-10,593

4,785

H.12(A)

COMMERCIAL AND INDUSTRIAL LOANS OUTSTANDING AT A SAMPLE OF WEEKLY REPORTING
LARGE COMMERCIAL BANKS BY INDUSTRY AND FEDERAL RESERVE D I S T R I C T , WEEK ENDED JULY 2 3 ,
( I N MILLIONS OF DOLLARS I

B U S I N E S S OF BORROWER

OUR. GOODS MFG.-TOTAL
PRIMARY METALS
MACHINERY
TRANSPORTATION E Q U I P .
OTHER F A B . METAL PROD.
OTHER DURABLE GOODS
HONOUR. GOODS MFG.-TOTAL
FOOD, LIQUOR, C TOBACCO
T E X . A P P A R . , & LEATH5%
PETROLEUM R E F I N I N G
CHEMICALS 6 RUBBER
OTHER NONDURABLE GOODS
MINING T I N C L . CRUDE
PETROLEUM & N A T . G A S )

BOSTON
ALL
DISTRICTS
P/
19,300
899
1,991
51
393
7,134
3,546
111
2,533
114
4,096
230

7,408
873
2,941
1,486
773
1,335

831
60
247
121
156
247

1,700
278
586
327
253
256

454
73
116
49
66
150

751
105
301
52
104
189

6,645
1,326
1,545
1,22*
1,708
837

605

538
85
66
71
154
162

568
78
324
15
66
85

14,088
3,142
3,323
2,493
2,890
2,240

NEW
YORK

PHILACLEVE- RICHMOND ATLANTA CHICAGO
DELPHIA
LAND
i
/

?9

T

i

£/

ST.
LOUIS

1975

KANSAS
MINNEAPPOLIS
CITY

DALLAS

SAN P / *
FRANCISCO

455
33
85
113
78
146

4,161
355
1,643
643
674
846

319
67
77
28
63
84

237
18
69
11
53
86

193
6
48
23
60
56

403
31
137
35
80
120

2,240
146
792
599
163
540

413
93
172
26
45
77

2,464
740
396
5*0
424
334

225
56
70
16
34
49

154
69
23
17
4
41

175
54
13
60
26
22

447
28
37
301
31
50

1,103
404
175
79
215
230

i

4

5,078

30

2,410

72

219

19

117

741

27

20

202

678

543

TRADE-TOTAL
COMMODITY DEALERS
OTHEFC WHOLESALE
RETAIL

12,907
1,062
5,596
6,249

808
49
332
427

4,363
546
2,090
1,727

654
32
2$5

3

678
7
266
405

774
47
320
407

609
28
292
289

1,725
59
895

432
80
137
215

227
38
72
117

426
32
175
219

439
58
192
189

1,772
86
714
972

T R A N S P . 9 COMMUN., 6
OTHER P U B . U T I L I T I E S
TRANSPORTATION
COMMUNICATION
OTHER P U B L I C U T I L I T I E S

15,230
5,973
2,231
7,026

539
232
114
193

8,230
2,723
880
4,627

5*9
2$9
130
230

704
224
117
363

406
179
166
61

431
271
34
126

2,317
964
373
980

289
202
48
39

99
69
5
25

150
82
35
33

348
161
74

1,128
637
255
236

5,575

118

1,319

211

350

537

367

1,054

1*6

144

110

525

724

10,765

578

3,416

1,126

579

446

497

1,295

306

247

284

567

1*464

2,224

39

900

100

33

107

29

265

9

10

40

692

F O R . COML• & I N D . LOANS

4,847

190

2,288

92

398

73

75

572

100

12

7

256

784

ALL PTHER LOANS

9,770

129

3,555

48

710

474

2*2

1,289

222

73

69

445

2,494

99,784
21,269

4,081
695

40,534
2,248

4,328
578

5,909
1,132

3,858
1,082

3,255
947

15,843
2,365

2,045
386

1,213
62

1,626
502

4,148
886

12,944
10,386

121,053

4,776

42,782

4,906

7,041

4,940

4,202

18,208

2,431

1,275

2,128

5,034

23,330

CONSTRUCTION
SERVICES
BANKERS

ACCEPTANCES

TOTAL C L A S S . LOANS
TOTAL U N C L A S S . LOANS
TOT^L COML. & I N D .

P/
*

LOANS

r

T f l

P R E L I M I N A R Y . FINAL TOTAL WILL APPEAR I N THE F . R . B U L L E T I N .
SAN FRANCISCO D I S T R I C T F I N A L FIGURES APPEAR I N A RELEASE OF THAT RESERVE BANK.
CLASSIFIED LOANS ARE AS OB JULY 1 6 , 1 9 7 5 .