Report [to the Congress]Export-Import Bank of the United States, 1960 The Jan./June 1956 report includes an annual report for the fiscal year; beginning in 1957, the Jan./June reports are issued in 2 pts., pt. 1 being an annual summary for the fiscal year, pt. 2 being a detailed statistical report for 6 months. |
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205 CREDITS 26 loans authorize transactions BANK OF WASHINGTON Bank's collateral function commercial banks commodities Company-1 loan Cuba)-Principal contracts were issued covering export Credit authorizations credits and guarantees Director Director ended December 31 Eximbank continued EXPORT CONSIGNMENT INSURANCE export ship Export-Import Bank financing FOREIGN CURRENCY LENDING guarantee contracts Guaranteed letters guarantees covering industrial items Installments on principal invoice value issued to U. S. July JULY-DEC Letters of Credit liability listing of loans loans and authorizations loans and guarantees loans-Principal long term loans LONG TERM PROJECT medium term credits MEDIUM TERM EXPORTER million months ended December political risk guarantees principal and inter principal and interest PROJECT AND TRADE purchase of U. S. reporting period shipments short term six months ended six months period standing balance term exporter credits total outstanding balance total principal TRADE DEVELOPMENT LOANS transactions involving transactions were approved U. S. exporters U. S. suppliers U. S. Treasury