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FEDERAL RESERVE statistical release For immediate release, May 26, 1976 C O M M E R C I A L AND INDUSTRIAL LOANS O U T S T A N D I N G BY INDUSTRY Commercial and industrial loans decreased a net of $313 million at weekly reporting large commercial banks during* the week ending May 19, 1976. The principal net decreases were $60 million in loans for machinery, $55 million in loans for transportation, and $52 million in loans for transportation equipment and services. The largest offsetting increase was $60 million in loans for retail trade. C H A N G E FROM WEEK ENDED JUNE 25, MAY 2 1 , M A Y 12, 1975 1975 1976 OUTSTANDING M A Y 19, B U S I N E S S OF B O R R O W E R 1 9 7 6 P/* (IN M I L L I O N S OF D O L L A R S ) D U R A B L E GOODS M A N U F A C T U R I N G - TOTAL PRIMARY METALS MACHINERY TRANSPORTATION EQUIPMENT OTHER F A B R I C A T E D METAL PRODUCTS OTHER D U R A B L E G O O D S 15,388 2,065 5,257 2,699 1,823 3,544 N O N D U R A B L E G O O D S M A N U F A C T U R I N G - TOTAL F O O D , LIQUOR, A N D T O B A C C O T E X T I L E S , A P P A R E L , A N D LEATHER PETROLEUM R E F I N I N G C H E M I C A L S A N D RUBBER OTHER N O N D U R A B L E G O O D S 13,043 3,059 3,161 2,348 2,521 1,954 MINING (INCLUDING CRUDE PETROLEUM 6 NATURAL GAS) - 5,645 • 71 - 2*827 972 - 1,014 903 - 4,725 • 39 - 2,193 894 942 735 97 11 18 11 43 14 - 1,687 541 104 22 771 249 - 1,412 289 60 131 618 314 206 23 60 52 35 36 - - 6,541 + 40 + 1,771 • 1,615 T R A D E - TOTAL COMMODITY DEALERS OTHER W H O L E S A L E RETAIL 13,510 1 , 664 5,683 6,163 + + 79 46 27 60 • + 83 443 116 244 • + 437 557 8 112 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 13,537 5,802 1,746 5,989 49 55 7 13 - 2,201 318 533 - 1,350 - 1,912 293 403 1,216 - 1,391 - 1,303 337 301 CONSTRUCTION + * 4,293 1 10,640 - 52 BANKERS ACCEPTANCES 2,884 - 23 + 721 • 666 FOREIGN C O M M E R C I A L & I N D U S T R I A L L O A N S 5,633 + 19 • 1,038 • 809 ALL OTHER LOANS 7,337 - 5 - 2,514 - 2,491 293 20 -10,162 - 1,401 - 8,617 - 1,074 313 -11,563 - 9,691 SERVICES TOTAL C L A S S I F I E D L O A N S TOTAL U N C L A S S I F I E D L O A N S TOTAL C O M M E R C I A L £ INDUSTRIAL LOANS P/ * NOTE: 92,806 19,324 112,130 - - PRELIMINARY. SAN FRANCISCO DISTRICT CLASSIFIED LOANS ARE AS OF MAY 12, 1976. EFFECTIVE MARCH 24, 1976 RE-CLASSIFICATION OF LOANS IN CHICAGO CITY RESULTED IN THE FOLLOWING MAJOR REVISIONS: ALL OTHER LOANS, - $859 MILLION; TOTAL CLASSIFIED LOANS, - $673 MILLION. THESE RE-CLASSIFICATIONS ARE NOT REFLECTED IN. DATA PRIOR TO MARCH 24, 1976. H.12(A) COMMERCIAL AND INDUSTRIAL LOANS OUTSTANDING AT A SAMPLE OF WEEKLY REPORTING LARGE COMMERCIAL BANKS BY INDUSTRY AND FEDERAL RESERVE DISTRICT, WEEK ENDED MAY 19, 1976 (IN MILLIONS OF DOLLARS) BUSINESS OF BORROWER DUR. GOODS MFG.-TOTAL PRIMARY METALS MACHINERY TRANSPORTATION EQUIP. OTHER FAB. METAL P R O D . OTHER DURABLE GOODS BOSTON ALL DISTRICTS P/* 78 5 15,388 2,065 71 5,257 344 85 2,699 99 1,823 3,544 186 NEW YORK PHILA- CLEVE- RICHMOND ATLANTA CHICAGO LAND DELPHIA ST. LOUIS M I N N E - KANSAS APPOLIS CITY DALLAS SAN P/* FRANCISCO 5,737 863 1,926 1,181 531 1,236 777 55 255 91 154 222 1,263 348 362 187 156 210 401 66 88 49 64 134 414 48 73 99 69 125 3,047 322 1,250 503 386 586 242 64 61 16 51 50 179 16 70 5 29 59 164 9 45 15 47 48 363 45 136 41 61 80 2,016 158 647 427 176 608 13,043 3,059 3,161 2,348 2,521 1,954 626 76 304 37 83 126 6,100 1,201 1,390 1,415 1,432 662 566 88 204 42 79 153 450 74 54 59 134 129 544 104 286 19 63 72 559 94 278 31 55 101 1,869 618 310 309 358 274 234 52 79 22 28 53 168 80 13 17 14 44 205 50 14 96 19 26 426 61 45 238 49 33 1,296 561 184 63 207 281 6,541 37 2,718 75 269 31 144 1,173 40 24 255 998 777 TRADE-TOTAL COMMODITY DEALERS OTHER WHOLESALE RETAIL 13,510 1,664 5,683 6,163 777 23 362 392 4,616 926 1,978 1,712 672 35 268 369 713 8 274 431 863 62 363 438 675 42 319 314 1,707 122 782 803 453 114 150 189 260 72 68 120 463 44 202 217 525 78 201 246 1,786 138 716 932 TRANSP., COMMUN., t OTHER PUB. UTILITIES TRANSPORTATION COMMUNICATION OTHER PUBLIC UTILITIES 13,537 5,802 1,746 5,989 570 204 122 244 6,998 2,683 595 3,720 547 223 136 188 663 220 135 308 281 142 82 57 352 254 30 68 2,023 837 229 957 278 212 26 40 95 61 8 26 138 78 21 39 309 139 63 107 1,283 749 299 235 4,293 141 960 214 304 335 268 773 52 64 86 492 604 10,640 590 2,962 1,026 621 440 493 1,703 208 271 300 574 1,452 2,884 70 870 163 119 77 32 352 51 19 153 978 FOR. C O M L . 6 IND. LOANS 5,633 150 2,403 121 464 82 107 641 57 9 6 179 1,414 ALL OTHER LOANS 7,337 76 2,563 63 566 486 355 360 215 54 81 554 1,964 92,806 19,324 3,822 734 35,927 1,975 4,224 587 5,432 1,110 3,540 1,128 3,399 1,001 13,648 2,229 1,830 417 1,124 85 1,717 501 4,573 866 13,570 8,691 112,130 4,556 37,902 4,811 6,542 4,668 4,400 15,877 2,247 1,209 2,218 5,439 22,261 NONDUR. GOODS MFG.—TOTAL FOOD, LIQUOR, t TOBACCO TEX. APPAR., £ LEATHER PETROLEUM REFINING CHEMICALS a RUBBER OTHER NONDURABLE GOODS MINING CINCL. CRUDE PETROLEUM 6 N A T . G A S ) CONSTRUCTION SERVICES BANKERS ACCEPTANCES TOTAL CLASS. LOANS TOTAL U N C L A S S . LOANS TOTAL C O M L . & IND. LOANS P/ * PRELIMINARY. FINAL TOTAL WILL APPEAR IN THE F . R . B U L L E T I N . SAN FRANCISCO DISTRICT FINAL FIGURES APPEAR IN A RELEASE OF THAT RESERVE BANK. CLASSIFIED LOANS ARE AS OF MAY 12, 1976.