View original document

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

•:oOi£pvf •.

FEDERAL
RESERVE
s t a t i s tic a I r e l e a s e

''•f*AL RE^V

For Immediate rei>A«e

H.12

C O M M E R C I A L AND INDUSTRIAL L O A N S O U T S T A N D I N G BY INDUSTRY

October 3, 1973

Commercial and Industrial loans Increased a net of $63 million at weekly
reporting large commercial banks during the week ended September 26,
The principal net Increases were $118 million In loans for other public
utilities, $74 million In loans for retail trade and $53 million In loans for
other wholesale trade.
The largest offsetting net decrease was $101 million in loans to manufacturers of machinery.

AUSINESS OF BORROWER

CHANGE,FROM WEFK ENDED

OUTSTANDING
SEP. 26.
1973 £/*

S E P . 27,
1972 1/

S E P . 19,
1973

O E C . 27,
1972 1/

(IN M I L L I O N S OF D O L L A R S )
DURABLE GOODS M A N U F A C T U R I N G - TOTAL
PRIMARY METALS
MACHINERY
TRANSPORTATION EQUIPMENT
OTHER FABRICATED METAL P R O D U C T S
OTHER DURABLE GOODS
NONDURABLE GOODS M A N U F A C T U R I N G . TOTAL
FOOD* LIQUOR* AND TOBACCO
TEXTILES* APPAREL* AND LEATHER
PETROLEUM REFINING
CHEMICALS AND RUBBER
OTHER NONDURABLE GOODS

.

17*437
2*052
6*570
2*437
2*31#
4*060
13*585
3.S04
3*663
1*208
2*703
2*207

MINING (INCLUDING CRUDE PETROLEUM I
NATURAL GAS)

*

•

•

•
•

»
•

4*036

TRADE - TOTAL
COMMODITY DEALERS
OTHER WHOLESALE
RETAIL

12*725
1*212
5*274
6*239

T R A N S P O R T A T I O N , C O M M U N I C A T I O N , AND
OTHER PUBLIC U T I L I T I E S * TOTAL
TRANSPORTATION
COMMUNICATION
OTHER PUBLIC UTILITIES

13*343
5*951
2*106
5*286

•

•

•
•

•
'

•

121

•

••••«•«•

•

101
18
1
1
11
43
41
14
2
3

14
100
27
53
74

94
11
13
118

•
•
•
•

.

•

•
•
•
•
•

4,399
58
2*509
123
566
1*143

.

-

3*187
1*039
620
?41
838
449

374

.»

2*044
91
•
685
• •
1*450

4*093
38
•
? * 013
•
296
•
590
• 1*156
•

•

2*962
399
•
971
•
231
847
514
•,

•

•

,

:•

•

•

•

-

-

•

3,338
678
416
2*244

•
•
•

•
' • •

'

407
1*336
572
624
1*284

•

2*425
443
269
1*713

•

•

5*803

-

12

•

1*137

•

1*099

10*489

•

16

•

2,105

•

1*547

BANKERS ACCEPTANCES

1*113

-

13

-

136

-

438

FOREIGN COMMERCIAL ft. INDUSTRIAL LOANS

4*050

•

25

•

584

•

170

ALL OTHER LOANS

7*939

•

28

•

2*186

•

?*018

90,520
17,789

•
-

64
1

*19,218
• 2,552

•18,619
• 1,679

108,309

•

63

*21,770

*17,298

CONSTRUCTION
SERVICES

TOTAL CLASSIFIED L O A N S
TOTAL UNCLASSIFIED L O A N S
TOTAL COMMERCIAL T INDUSTRIAL L O A N S

P/
1/

PRELIMINARY.
LOAN RECLASSIFICATION AT A LARGE BANK ON JUNE 28, 1972 AFFECTS CHANGE IN SOME LOAN ITEMS.
DATED JULY 5, 1972, FOR MORE COMPLETE INFORMATION.
*
SAN FRANCISCO DISTRICT CLASSIFIED LOANS ARE AS OF SEPTEMBER 19, 1973.



SEE H.12 RELEASE

H.12(a)

COMMERCIAL AND INDUSTRIAL LOANS OUTSTANDING AT A SAMPLE OF WEEKLY REPORTING
LARGE
--

BUSINESS

OF

-

BORROWER

COMMERCIAL
.,

ALL
DISTRICTS

BANKS

BOSTON

BY

INDUSTRY AND FEDERAL RESERVE DISTRICT.
FIN M I L L I O N S O F D O L L A R S )

NEW
YORK

PHILADELPHIA

CLEVELAND

RICHMOND

ATLANTA

WEEK

CHICAGO

ENDED

ST.2/
LOUIS

SEP.

26.

MINNEAPPOLIS

1973

KANSAS
CITY

DALLAS

S A N £/*
FRANCISCO

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

17,437
2,052
6,570
2,437
2,318
4,060

921
48
427
73
128
245

6,628
1,005
2,708
944
537
1,434

761
80
207
98
180
196

1,492
252
540
205
258
237

432
52
97
42
64
177

402
32
88
80
87
115

3,564
331
1,387
489
635
722

241
48
53
15
39
86

194
12
42
11
45
84

149
4
35
11
50
49

395
36
133
26
90
110

2,258
152
853
443
205
605

NONDUR. GOODS MFG.-TOTAL
FOOD, LIQUOR, I TOBACCO
TEX. APPAR., & LEATHER
PETROLEUM REFINING
CHEMICALS I RUBBER
OTHER NONDURABLE GOODS

13,565
3,804
3,663
1,208
2,703
2,207

771
115
369
12
97
178

6,179
1,543
1,736
527
1,525
848

611
125
248
37
84
117

563
107
76
47
175
158

570
94
316
9
83
68

451
94
167
47
65
78

2,337
876
388
306
339
428

307
101
90
18
45
53

206
96
34
19
15
42

185
82
19
30
28
26

272
71
36
59
52
54

1,133
500
164
97
195
157

4.036

27

1,927

93

225

18

75

622

15

27

147

520

340

TRADE-TOTAL
COMMODITY DEALERS
OTHER WHOLESALE
RETAIL

12,725
1,212
5,274
6,239

852
37
327
488

4,149
620
1,750
1,779

646
37
246
363

699
9
292
398

751
61
297
393

677
33
332
312

1,724
117
729
878

381
50
155
176

255
52
76
127

424
49
162
213

491
35
212
244

1,676
112
696
868

TRANSP., COMMUN., 1
OTHER PUB. UTILITIES
TRANSPORTATION
COMMUNICATION
OTHER PUBLIC UTILITIES

13,343
5,951
2,106
5,286

604
199
118
287

6,625
2,902
806
2,917

444
192
77
175

781
230
164
387

463
203
142
118

393
261
45
87

1,880
769
300
811

266
199
38
29

127
72
6
49

148
88
30
30

323
132
82
109

1,289
704
298
287

5,803

155

1,503

298

344

670

269

769

139

169

112

558

817

10,489

631

3,018

1,086

547

365

572

1,182

254

272

296

540

1,726

1,113

28

512

38

82

17

10

91

8

--

9

73

245

4,050

88

1,990

98

208

75

54

689

62

18

--

169

599

7,939

128

3,063

22

557

479

216

942

176

78

77

307

1,894

90,520
17,789

4,205
648

35,594
1,341

4,097
291

5,498
1,111

3,840
953

3,119
1,083

13,800
2,244

1,849
385

1,346
81

1,547
520

3,648
731

11,977
8,401

108,309

4,853

36,935

4,388

6,609

4,793

4,202

16,044

2,234

1,427

2,067

4,379

20,378

MINING (INCL. CRUDE
PETROLEUM & NAT. GAS)

CONSTRUCTION
SERVICES
BANKERS
FOR.

ACCEPTANCES

COML.

ALL O T H E R

4, I N D E

LOANS

LOANS

TOTAL CLASS. LOANS
TOTAL U N C L A S S . LOANS
TOTAL

PZ

*

COML.

T, I N O .

LOANS

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 .
SAN FRANCISCO DISTRICT FINAL FIGURES

CLASSIFIED LOANS ARE AS OF SEPTEMBER 19,1973.




BULLETIN.
A P P E A R IN

A

RELEASE

OF

THAT

RESERVE

BANK.