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fe o f G o v ^ ^ E D E R A L
RESERVE
statistical release
^LIBRARY
RESERVE S

^

For Immediate release
June 20, 1973

COMMERCIAL AND INDUSTRIAL LOANS OUTSTANDING BY INDUSTRY

H. 12

Commercial and Industrial loans Increased a net of $463 million at weekly reporting
large commercial banks during the week ended June 13,
The principal net Increases were $141 million In loans to manufactures of machinery,
$71 million In loans for bankers acceptancea, $65 million in loans to manufacturers of other
fabricated metal products, and $65 million In loans to manufactures of other durable goods.
The largest offsetting net decrease was $61 million la loans to coanodlty dealers.

BUSINESS OF BORROWER

OUTSTANDING
JUNE 1 3 # *
1 9 7 3 £/

CHANGE FROM WEEK ENDED
J U N E 28T
JUNE lie
JUNE
6#
1 9 7 2 1/
1 * 7 2 1/
1973

(IN MILLIONS OF DOLLARS)
306
4
141
39
65
65

• 2*623
137
• 1*669
216
•
562
•
927

• 2*676
65
• 1*706
•
212
•
567
•
900

16
10
22
13
26
11

• 2*501
•
954
•
459
•
171
•
540
•
377

• 2*333
•
813
•
402
•
214
•
523
•
381

291

389

40
61
7
14

• 2*295
•
36
•
793
• 1*466

• 2*394
•
142
•
739
• 1*513

29
6
10
47

• 2*666
•
346
•
791
• 1*747

• 2*695
•
271
•
709
• 1*715

S*SU

63

• 1*279

• 1*171

10*034

16

• 1*7BS

• 1*566

BANKERS ACCEPTANCES

1.S0*

71

-

•

FOREIGN COMMERCIAL t INDUSTRIAL LOANS

4**37

7

• 1*061

• 1*046

ALL OTHER LOANS

2l60$

51

• 1*730

• 1*923

66,425
17*530

513
_50

*16*651
* 2*601

*16*466
* 2*625

103*955

463

•19*454

•19*093

DURABLE GOODS MANUFACTURING - TOTAL
PRIMARY METALS
MACHINERY
TRANSPORTATION EQUIPMENT
OTHER FABRICATED METAL PRODUCTS
OTHER DURABLE GOODS

16*036
2*008
5*866
2*167
2*238
3*735

NONDURABLE GOODS MANUFACTURING - TOTAL
FOOD* LIQUOR* AND TOBACCO
TEXTILES* APPAREL* AND LEATHER
PETROLEUM REFINING
CHEMICALS AND RUBBER
OTHER NONDURABLE GOODS

12*541
3*391
3*260
1*205
2*641
2*044

MINING (INCLUDING CRUDE PETROLEUM t
NATURAL GAS*

12*472
1*304
5*173
5*995

TRANSPORTATION* COMMUNICATION* AND
OTHER PUBLIC UTILITIES - TOTAL
TRANSPORTATION
COMMUNICATION
OTHER PUBLIC UTILITIES

12*292
5*621
2*122
4*349

SERVICES

TOTAL CLASSIFIED LOANS
TOTAL UNCLASSIFIED LOANS
TOTAL COMMERCIAL I INDUSTRIAL LOANS

P/

1/
*

PRELIMINARY.

•
•
•
•

•
•

•
•
•
•

3*993

TRADE - TOTAL
COMMODITY DEALERS
OTHER WHOLESALE
RETAIL

CONSTRUCTION

•
•

•
•

•
•

•
•
•

•

LOAN RECLASSIFICATION AT A LARGE BANK ON JUNE 28, 1972, AFFECTS CHANGES IN SOME LOAN ITEMS.
DATED JULY 5, 1972, FOR MORE COMPLETE INFORMATION.
SAN FRANCISCO DISTRICT CLASSIFIED LOANS ARB AS OF JUNE 6, 1973.




1G

S3

SEE H.12 RELEASE

H.12(a)

LARGE

BUSINESS

OF

BORROWER

C O M M E R C I A L A N D I N D U S T R I A L L O A N S O U T S T A N D I N G AT A S A M P L E OF W E E K L Y R E P O R T I N G
C O M M E R C I A L B A N K S BY INDUSTRY AND FEDERAL R E S E R V E DISTRICT, WEEK ENDED JUNE 19.
(IN M I L L I O N S O F D O L L A R S )

ALL
DISTRICTS

BOSTON

OUR, GOODS MFG.-TOTAL
PRIMARY METALS
MACHINERY
TRANSPORTATION EQUIP.
OTHER FAB. METAL PROD.
OTHER DURABLE GOODS

16.036

NONOUR. GOODS MFG.-TOTAL
F O O D , L I Q U O R # 6, T O B A C C O
TEX. APPAR.T I LEATHER
PETROLEUM REFINING
CHEMICALS & RUBBER
OTHER NONDURABLE GOODS

12.541
3.391
3.260
1.205
2.641
2.044

720
124
363

811

NEW
YORK
5.941
944
2.388
825
511
1*273

PHILADELPHIA

CLEVE- RICHMOND
LAND

753

1,338

202
85
176
204
579
104

91
132

5.750
1,400
1,502
544
1,510
794

3.993

30

TRADE-TOTAL
COMMODITY DEALERS
OTHER WHOLESALE
RETAIL

12.472
1.304
5.173
5.995

TRANSP.T COMMUN#« &
OTHER PUB. UTILITIES
TRANSPORTATION
COMMUNICATION
OTHER PUBLIC UTILITIES

MINING (INCL. CRUDE
PETROLEUM & NAT. GAS)

CONSTRUCTION
SERVICES
BANKERS
FOR.
ALL

ACCEPTANCES

C O M L . S, I N D ,
OTHER

LOANS

LOANS

TOTAL CLASS. L O A N S
TOTAL UNCLASS, L O A N S
TOTAL

P/

COML. &

IND.

LOANS

ATLANTA

CHICAGO

ST.2/
LOUIS

MINNE*
APPOLIS

1973

KANSAS
CITY

DALLAS

S A N P/*
FRANCISCO

448
167
240
215

394
40
92
34
71
157

369
32
78
70
76
113

3,379
340
1,298
436
646
659

226
42
55
16
30
83

188
17
58
18
38
68

145
8
27
11
48
51

375
37
128
26
84
100

2,117
155
707
443
207
605

38
105
110

534
89
72
48
178
147

544
80
309
13
71
71

445
97
158
44
65
81

2,079
753
346
288
296
396

280
87
79
12
52
50

198
85
27
22
16
49

173
77
15
26
29
26

255
66
26
67
51
45

989
429
141
93
177
149

1,923

91

207

19

68

608

14

29

146

517

345

853
40
342
471

3,908
566
1 ,680

654
51
248
355

723
13
299
411

706
35
294
377

697
36
340
321

1 ,664
151
678
835

404
91
147
166

297
85
78
141

418
42
145
231

493
48
234
211

1,655
146
696
813

12.292
5.821
2.122
4.349

518
203
90
225

6,061

698
233
132
333

398
194
106
98

396
247
57
92

1,726
791
252
683

259
190
35
34

99
63

2,404

365
176
57
132

27

150
85
41
24

274
129
69
76

1,348
715
412
221

5.511

141

1,377

336

323

595

262

719

141

141

124

545

807

10.034

580

2,905

1,048

533

350

520

1,153

266

255

278

518

1,628

1.504

35

743

47

• 72

23

13

94

9

7

139

322

4.437

90

2,551

94

158

80

54

612

51

19

"

152

576

7.605

127

2,732

23

580

457

213

863

154

83

78

335

1,960

86.425
17.530

3,905
628

33,891
1,324

3,990
293

5,166
1,086

3,566
932

3,037
1,050

12,897
2,159

1,804
376

1,30#
89

1.519
503

3,603
741

11,747
8,358

103,955

4,533

35,215

4.283

6.252

4.498

4.087

15.056

2.180

1.380

2.022

4,344

20,105

2.008

39
387

5.86B
2.187
2.238
3.735

62

116
207

10

1,662

2,795

862

86

222

268

P R E L I M I N A R Y . F I N A L T O T A L W I L L A P P E A R IN T H E F . R . B U L L E T I N .
S A N F R A N C I S C O D I S T R I C T F I N A L F I G U R E S A P P E A R IN A R E L E A S E OF

CLASSIFIED LOANS ARE AS OF JUNE 6, 1973.
*



THAT

RESERVE BANK.

9

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