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CftU-

BOARD O F G O V E R N O R S O F T H E
L.4.2

AliC

20

RESERVE

SYSTEM.

r

SIX MONTHS

OLLED

FEDERAL

j AUTO LOANS BY C O M M E R C I A L B A N K S
M A T U R I T I E S AND D E A L E R C O S T R A T I O S

PER C E N T O F C O N T R A C T S
WITH M A T U R I T I E S O F :

I
\
|
I

MAY
1973

JUNE
1973
*

THREE
1212

MONTHS E N D I N G
J1WE
I
1222

PURCHASED PAPER
|
|

2 4 MONTHS OR L E S S
OVER 2 4 MONTHS

41.0
59.0

2 4 MONTHS OR L E S S
OVER 2 4 MONTHS

55.2
44.8

42.2
57.8
DIRECT

C O N T R A C T BALANCE
C O M P A R E D TO

I
L
_L

DEALER COST

24

EQUAL

TO

I
I
I
I

I

MONTHS
I

JUN-

I

|

EQUAL

TO

45.4
9.9
55.3

L E S S THAN OR EQUAL T O
G R E A T E R THAN

I
I
I




45.7

32.9

60.1

12.2

55.8

35.1
11.3

33.5
11.9

-JUM

I

MAY.

|

26.0

|

58.9

I
|

60.0

62.1

40.0

37.9

LOANS

32.5

10.1

I
1

L

PAPER

33.0
27.1

41.1

TOTAL

-MAX

DIRECT
L E S S THAN O R
G R E A T E R THAN

57.0
43.0

OVER 2 4

MAY

29.2
11.9

27.0
12.9
39.9

54.8
45.2

PER CENT OF CONTRACTS WITH M A T U R I T I E S OF?

MONTHS

PURCHASED
L E S S THAN OR
G R E A T E R THAN

45.0
55.0

LOANS

55.1
44.9

OR L E S S
AM

41.9
58.1

32.8

31.8
12.4

|
|

44.2

|

32.5

21.8

21.1

|

I

77.9

77.4

22.1

22.6

66.3
33.7

67.6
32. V

I
45.4

I

46.4

|

54.6

|

X

53.6

100.0

|

100.0

&n

BOARD O F G O V E R N O R S

OF

THE

FEDERAL

RESERVE

SYSTEM

L.4.2

AUGUST

13,

1973

AUTO LOANS BY C O M M E R C I A L BANKS
M A T U R I T I E S AND D E A L E R C O S T R A T I O S
NEW C A R S

PER CENT OF C O N T R A C T S
WITH M A T U R I T I E S O F :

|
|

MAY
1973

JUNE
1973

THREE

I
PURCHASED

87.4

3 0 MONTHS OR L E S S
OVER 3 0 MONTHS

24.9
75.1

87.8
DIRECT

I

DEALER COST

J

30

OVER

MONTHS

OR LESS

JUfl

I

11.0
2.6

TO

I

13.2

86.8
26.6

25.2
74.8

73.4

30

MONTHS

MAI

I

J12M

I

HM

13.5

|

13.0

63.5
23.4

24.7
|

86.5

EQUAL

23.4
2.3
I

25.6

|

22.7
3.0

64.8
9.5

25.7

74.4

L

JUN

J

MAY.

PAPER

61.8

10.7
2.3

|

DIRECT
L E S S THAN OR
G R E A T E R THAN

|
|

LOANS

24.9
75.1

PURCHASED
EQUAL

12.4
87.6

PER CENT OP CONTRACTS WITH MATURITIES Q p :

C O N T R A C T BALANCE
COMPARED TO

L E S S THAN OR
G R E A T E R THAN

JUNE
1972
I

PAPER

12.2

12.6

3 0 MONTHS OR L E S S
OVER 3 0 MONTHS

MONTHS E N D I N G

1973

74.3
25.7

72.8
27.2

87.0

I

100.0

|

100.0

LOANS

|

64.9
9.4

88.2
11.8

74.3

100.0

64.0
18.9

77.7
22.3

87.5
12.5
|

100.0

TOTAL
L E S S THAN OR
G R E A T E R THAN

EQUAL

I
NOTE:

14.5

14.9
2.5

TO

17.4

|

17.1

D I S T R I B U T I O N S A R E D E R I V E D FROM R E P O R T S
R E P O R T E D D E A L E R C O S T R A T I O S AS WELL AS




62.7
19.9

2.6
|

82.6
OF 1 0 9 B A N K S ,
MATURITIES.

100.0
71

O F WHICH

78.5
21.5
|

100.0