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•: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.