Integrated Macroeconomic Accounts for the United States Table

S.3.q Households and Nonprofit Institutions Serving Households
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 9/30/2014   Last Revised on September 23, 2014 
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Line      2009   
I
   2009   
II
   2009   
III
   2009   
IV
   2010   
I
   2010   
II
   2010   
III
   2010   
IV
   2011   
I
   2011   
II
   2011   
III
   2011   
IV
   2012   
I
   2012   
II
   2012   
III
   2012   
IV
   2013   
I
   2013   
II
   2013   
III
   2013   
IV
                                              
                                                 Current account
1Gross value added1,895.51,909.61,917.61,931.81,918.31,926.31,932.71,937.91,953.91,970.61,983.31,989.72,007.52,013.72,027.92,046.52,068.02,082.22,103.72,124.4
2Less: Consumption of fixed capital406.7403.0400.5402.9402.3399.5399.3400.9399.0398.0397.6398.4399.3402.0406.2410.7416.6422.9430.5438.4
3Equals: Net value added1,488.81,506.61,517.11,528.91,516.01,526.81,533.41,537.01,554.91,572.61,585.71,591.31,608.21,611.81,621.71,635.81,651.41,659.31,673.11,686.0
4   Compensation paid by households and NPISHs673.2686.0687.8699.5684.1693.8702.9704.9712.0722.0730.7731.1745.4747.3752.6762.8768.7773.1778.3784.2
5   Taxes on production and imports less subsidies149.3152.3153.7154.3153.1152.6152.5152.9153.9154.9155.2155.9156.5156.9157.1155.9156.4156.9157.4158.0
6   Operating surplus, net666.3668.2675.7675.0678.8680.3678.0679.1689.0695.7699.8704.4706.3707.6712.0717.1726.3729.4737.4743.7
7Net national income/Balance of primary incomes,
    net
10,715.710,634.310,578.910,644.610,653.210,841.610,952.511,110.811,379.411,502.511,669.311,713.012,029.412,141.412,188.612,664.312,439.512,594.012,685.112,753.1
8   Operating surplus, net666.3668.2675.7675.0678.8680.3678.0679.1689.0695.7699.8704.4706.3707.6712.0717.1726.3729.4737.4743.7
9   Compensation of employees (received)7,762.47,790.57,774.07,821.07,801.77,947.18,019.18,077.98,209.78,248.98,332.08,285.48,523.08,543.88,576.68,782.58,734.48,826.38,871.68,946.8
10      Wages and salaries6,230.66,256.36,238.96,279.86,239.66,365.56,426.46,478.66,583.66,615.56,689.66,643.96,861.06,877.26,902.77,087.47,034.17,110.97,145.37,208.5
11      Employers' social contributions1,531.81,534.21,535.01,541.31,562.11,581.61,592.81,599.31,626.11,633.41,642.41,641.61,662.11,666.61,673.91,695.11,700.31,715.41,726.21,738.3
12   Property income received, net2,287.02,175.52,129.32,148.52,172.82,214.22,255.32,353.82,480.62,557.92,637.42,723.22,800.12,889.92,900.03,164.62,978.93,038.43,076.13,062.5
13Net national income/Balance of primary incomes,
    net
10,715.710,634.310,578.910,644.610,653.210,841.610,952.511,110.811,379.411,502.511,669.311,713.012,029.412,141.412,188.612,664.312,439.512,594.012,685.112,753.1
14Less: Current taxes on income, wealth, etc. (paid)1,195.51,125.21,126.41,132.61,145.61,167.91,209.41,242.91,372.91,390.61,418.11,420.91,464.71,479.51,505.11,565.41,636.81,660.61,661.51,688.1
15Plus: Social benefits (received)1,994.62,132.02,132.02,147.42,212.72,219.02,245.12,259.02,262.12,258.22,250.12,260.32,282.12,305.52,312.62,330.32,352.92,362.22,384.02,389.7
16Less: Social contributions (paid)961.3966.3963.4966.6972.0984.0988.4992.0913.6916.3924.1917.2944.1944.8946.9968.91,090.71,102.11,107.81,117.5
17Plus: Other current transfers (received)37.938.338.939.740.641.943.346.149.451.151.149.445.843.341.941.441.942.342.542.6
18Less: Other current transfers (paid)151.4154.1155.7159.7165.1160.6159.6157.3153.8152.5153.5160.5167.8172.3171.0178.6175.9174.6170.9173.6
19Equals: Disposable income, net10,440.010,558.910,504.310,572.710,623.910,790.010,883.411,023.711,250.611,352.411,474.811,524.011,780.611,893.511,920.012,323.011,930.912,061.112,171.412,206.2
20Less: Final consumption expenditures9,770.29,769.89,890.89,957.110,044.510,137.710,233.410,393.210,523.510,651.410,754.510,827.910,959.711,030.611,119.811,222.611,351.111,414.311,518.711,653.3
21Equals: Net saving669.8789.2613.5615.6579.4652.3650.0630.5727.0701.0720.3696.2821.0863.0800.31,100.5579.8646.9652.8552.9
                                              
                                                 Capital account
22Net saving less capital transfers654.0775.4704.0668.2635.3662.7646.7649.8723.8699.6721.3691.8814.4854.9789.71,145.8562.1628.1631.8531.5
23   Net saving669.8789.2613.5615.6579.4652.3650.0630.5727.0701.0720.3696.2821.0863.0800.31,100.5579.8646.9652.8552.9
24   Less: Capital transfers paid (net)15.813.8-90.6-52.6-56.0-10.43.4-19.33.21.5-0.94.36.58.110.5-45.317.718.820.921.4
25Capital formation, net67.943.756.552.743.260.331.638.633.341.050.059.078.682.292.0110.1118.8134.8146.1137.9
26   Gross fixed capital formation, excluding
       consumer durables
484.9456.5466.5464.8454.3468.4439.1447.6440.5446.9455.3464.9485.5491.8505.8528.5543.3565.6584.6584.1
27      Residential332.5308.0320.6323.0320.3334.6305.3312.8312.0317.0323.3332.3350.2356.0371.8394.1407.1430.8448.6447.1
28      Nonresidential (nonprofit organizations)152.3148.5145.8141.7134.0133.8133.8134.8128.5129.9132.0132.6135.2135.7134.0134.4136.1134.9136.0137.0
29   Less: Consumption of fixed capital406.7403.0400.5402.9402.3399.5399.3400.9399.0398.0397.6398.4399.3402.0406.2410.7416.6422.9430.5438.4
30   Acquisition of nonproduced nonfinancial assets-10.3-9.8-9.5-9.2-8.9-8.6-8.3-8.2-8.2-7.9-7.7-7.5-7.6-7.6-7.6-7.7-7.9-8.0-7.9-7.8
31Net lending (+) or borrowing (-), capital
    account (lines 22-25)
586.1731.7647.5615.5592.2602.4615.1611.3690.5658.6671.2632.8735.9772.7697.81,035.7443.3493.3485.7393.5
                                         Financial
                                           account
32Net lending (+) or borrowing (-) (line 31)586.1731.7647.5615.5592.2602.4615.1611.3690.5658.6671.2632.8735.9772.7697.81,035.7443.3493.3485.7393.5
33Net acquisition of financial assets803.4458.4447.2977.5558.61,029.2487.61,079.61,000.11,495.2645.71,087.3560.21,998.1848.81,315.21,160.0885.7451.01,468.2
34   Currency and deposits165.9281.7-65.3416.560.2154.2361.3249.4478.81,107.2548.6625.5542.8673.8137.1911.8357.6261.7238.7522.4
35      Currency and transferable deposits67.3295.356.4-15.1-129.776.770.7137.8204.0347.0574.9188.0112.0232.816.1281.3232.261.2-50.5300.7
36      Foreign deposits-17.50.31.7-13.2-17.011.510.113.69.3-17.2-3.7-28.1-5.8-19.95.5-10.613.013.21.9-16.9
37      Time and savings deposits116.1-13.9-123.4444.8206.966.1280.498.0265.4777.4-22.6465.6436.6460.9115.5641.1112.3187.3287.3238.6
38      Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
39   Debt securities390.8-803.3342.3406.7-2.7377.6-989.7347.0-904.5-592.522.4597.7-736.9527.1-544.1-192.9-914.3-668.5-369.1-158.8
40      Open market paper-1.638.033.4-3.0-4.1-4.21.80.65.9-4.0-6.2-2.82.0-2.6-0.4-1.4-3.2-0.8-0.8-10.4
41      Treasury securities830.2131.4698.3472.6311.51,123.9-13.6-140.1-1,050.2-415.1145.5402.4-51.8559.8147.3191.4-254.4-102.6-104.2-291.1
42      Agency- and GSE-backed securities (1)-852.5-1,242.3-148.3-440.5100.8-209.7-203.3272.3408.4-186.1-257.4-10.1-312.4-14.5-224.84.8-290.6-46.7-82.040.5
43      Municipal securities106.691.676.3153.8126.2-17.7-41.1107.0-20.1-108.0-35.2-99.0-141.9-13.3-206.5-217.9-6.5-28.7-67.0-71.2
44      Corporate and foreign bonds308.1177.9-317.4223.8-537.1-514.6-733.5107.2-248.5120.7175.7307.2-232.8-2.2-259.8-169.9-359.7-489.7-115.1173.3
45   Loans-296.228.898.0-21.1-5.3-7.919.9-0.319.3182.736.0-258.621.146.36.9-7.2-61.6191.7-22.891.9
46      Short term-296.829.099.9-19.11.45.531.811.218.5184.531.3-257.834.761.920.25.8-54.2199.7-15.797.9
47      Long term (mortgages)0.6-0.3-1.9-2.0-6.7-13.4-11.9-11.50.8-1.74.7-0.9-13.6-15.6-13.3-13.0-7.4-8.0-7.2-6.0
48   Equity and investment fund shares79.8561.4-374.3-348.8-41.9-98.9419.7-112.8828.2171.6-678.5-526.5329.3464.3715.4-33.31,306.3599.614.6310.2
49      Corporate equities294.0249.8-249.3-370.5-325.9-86.2-111.5-360.4-55.2-302.9-424.0-452.6-256.0-85.3-61.6-562.5298.847.7-648.965.3
50      Mutual fund shares-192.7601.2556.7539.6354.4-63.9511.2325.6808.3470.6-123.3177.9565.3518.4803.7539.5976.6510.8669.4413.1
51      Money market fund shares99.3-172.6-565.8-430.2-235.2-117.9-137.1-241.9109.572.4-45.2-197.55.822.2-6.514.432.8100.969.3-117.5
52      Equity in noncorporate business-120.8-117.1-115.9-92.5158.1164.1154.7162.3-34.6-69.8-87.0-54.414.19.0-20.2-24.8-1.9-59.8-75.1-50.7
53      Equity investment under Public-Private
          Inv. Program (2)
0.00.00.04.86.75.12.51.50.31.31.10.10.10.00.00.00.00.00.00.0
54   Insurance, pension and standardized guarantee
       schemes
463.1389.9446.6524.1548.4604.1676.5596.4578.3626.2717.2649.2403.9286.5533.5636.7472.1501.3589.7702.5
55      Insurance receivables due from
          property-casualty insurance companies
8.510.713.12.6-40.0-25.9-28.9-46.219.144.733.249.9-32.6-19.0-20.00.732.547.841.237.1
56      Life insurance reserves63.44.40.929.7-5.03.435.7-9.149.259.6104.081.2-47.6-81.8-0.423.62.022.935.916.0
57      Pension entitlements (3)399.0364.2405.3421.9589.6599.7625.1568.6498.7536.5517.2444.3489.0391.0541.6570.0447.9441.4499.2591.3
58      Non-life insurance reserves at life
          insurance companies
9.05.922.8-4.08.222.328.99.111.610.726.99.8-0.2-15.119.0-10.8-5.8-1.214.4-5.7
59      Retiree Health Care Funds-16.84.74.573.9-4.34.615.774.0-0.3-25.435.963.9-4.611.4-6.753.3-4.5-9.5-1.163.8
60Net incurrence of liabilities-68.5134.0121.2116.6-366.13.9-138.483.4134.9-188.5-279.173.1274.6276.3176.9374.2124.2199.8452.7197.6
61   Debt securities (municipals)1.915.06.80.14.6-9.2-10.86.5-1.7-4.3-19.5-5.5-6.5-17.5-15.4-18.5-6.5-14.6-13.4-18.1
62   Loans-109.884.374.584.5-351.438.8-86.497.6133.7-187.3-255.877.8269.7282.4186.6402.9125.6206.0468.7210.5
63      Short term-255.211.075.322.454.0109.885.5160.4218.0-109.7-181.3138.0361.5339.3232.3453.4197.5184.9351.1233.6
64         Consumer credit-74.1-153.1-81.3-106.0-73.3-64.73.633.0112.890.1106.3124.8152.4201.7148.9175.7179.0162.9190.6164.8
65         Depository institution loans n.e.c.-60.3108.856.18.7151.590.410.7-51.9-45.9-190.4-47.664.494.9231.3-17.9135.01.538.1115.4-34.8
66         Other loans and advances1.41.7-3.92.92.21.74.51.30.92.13.71.1-1.2-0.62.64.20.55.20.61.7
67         Security credit-122.353.6104.4116.9-26.482.566.7178.0150.2-11.5-243.7-52.3115.4-93.198.7138.416.4-21.244.6101.9
68      Long term (mortgages)145.573.3-0.962.1-405.4-71.0-171.9-62.8-84.3-77.6-74.5-60.2-91.8-56.9-45.8-50.5-71.921.1117.6-23.1
69   Insurance, pension and standardized guarantee
       schemes
-2.0-6.7-1.5-9.510.13.6-11.88.71.71.9-5.0-0.47.57.41.7-14.34.17.4-3.74.2
70   Other accounts payable (trade debt)41.441.441.441.4-29.4-29.4-29.4-29.41.21.21.21.24.04.04.04.01.01.01.01.0
  Addendum:
71Net lending (+) or borrowing (-), financial
    account (lines 33-60)
871.9324.4326.0860.9924.71,025.3626.0996.3865.21,683.7924.81,014.2285.61,721.8672.0941.01,035.8685.9-1.71,270.6
                       Other changes in volume
                         account
72Total other volume changes791.3-187.3-119.794.1309.169.295.5720.7219.9134.4-67.9166.4125.193.5224.974.1290.8112.9-63.4383.3
73   Net investment in consumer durable goods9.98.417.614.315.020.322.628.930.728.127.832.339.037.339.342.848.848.348.249.0
74   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-20.90.00.00.00.0
75   Other volume changes592.712.4-62.534.999.648.664.5607.040.8-43.1-156.033.597.4-52.2186.953.3-3.0122.031.585.2
76   Less: Statistical discrepancy ((lines
       31-71)/4) (4)
-188.7208.174.8-44.8-194.5-0.2-8.4-84.7-148.4-149.4-60.4-100.511.3-108.41.31.1-245.057.3143.1-249.2
                                           
                                              Revaluation account
77   Nonfinancial assets-870.5-324.2-126.3134.6-5.4-17.6-348.3-115.6-139.2-83.0-0.889.4252.4381.0407.5434.8616.0644.1535.9499.3
78      Real estate-847.7-317.2-93.5119.514.48.3-321.2-97.4-144.0-113.4-1.4102.8251.1390.7425.1447.7627.2665.3564.7529.1
79      Consumer durable goods-22.4-5.3-30.317.2-15.8-25.7-26.9-19.94.029.0-0.5-14.9-0.3-9.4-18.7-13.1-10.4-21.4-29.5-30.9
80      Equipment0.6-0.8-1.7-2.8-3.5-0.40.60.9-0.10.70.61.30.1-0.90.20.5-0.7-0.10.30.2
81      Intellectual property products-1.0-0.9-0.80.7-0.50.1-0.80.70.90.60.60.21.50.70.9-0.3-0.20.30.40.9
82   Financial assets-1,637.01,237.41,581.3468.4565.7-1,127.61,747.31,673.31,263.171.5-2,641.51,493.01,580.8-502.61,365.4487.41,706.5633.01,699.31,698.5
83      Corporate equities-812.3986.61,126.6213.2333.4-663.11,028.5946.5765.387.5-1,628.6832.6756.1-298.3704.8227.0915.2277.8872.3821.4
84      Mutual fund shares-122.9274.9286.627.440.4-245.9241.2219.6160.3-0.5-644.9216.4267.8-169.2138.489.9192.516.0272.1323.9
85      Equity in noncorporate business-405.0-453.5-310.421.81.7224.096.7140.5155.539.2119.0219.167.0140.0283.8184.4211.7276.1298.6227.2
86      Equity investment under Public-Private
          Inv. Program
0.00.00.0-0.3-0.5-0.3-0.1-0.10.0-0.1-0.10.00.00.00.00.00.00.00.00.0
87      Insurance, pension and standardized
          guarantee schemes
-296.8429.5478.4206.4190.6-442.2381.1366.9182.0-54.7-486.9224.9490.0-175.0238.3-13.9387.063.1256.4326.0
88Changes in net worth due to nominal holding
    gains/losses
-2,507.5913.21,455.0603.1560.2-1,145.21,399.01,557.71,123.9-11.6-2,642.21,582.41,833.2-121.51,772.9922.22,322.41,277.12,235.22,197.8
                    Changes in balance sheet account
89Change in net worth ((lines 25+31)/4 + lines
    72+88) (5)
-1,552.7919.71,511.3864.21,028.2-910.41,656.22,440.91,524.8297.7-2,529.81,921.72,161.9185.62,195.21,282.72,766.81,523.82,345.82,708.1
                       Balance sheet account (end
                         of period)
90Total assets69,078.169,972.071,483.972,330.973,219.072,254.273,864.376,265.077,737.977,950.975,343.577,272.179,419.479,630.181,799.383,169.685,887.287,435.689,900.392,669.2
91   Nonfinancial assets23,913.723,610.123,515.423,677.123,699.623,707.623,393.523,318.223,215.523,170.923,212.023,347.223,657.024,095.324,564.625,047.825,741.926,468.127,087.327,669.2
92      Real estate18,988.218,678.518,593.718,720.718,744.218,753.818,439.918,349.618,207.418,100.618,109.218,221.518,487.618,895.019,339.919,790.220,442.921,138.821,735.722,295.9
93      Consumer durable goods4,566.14,569.24,556.64,588.14,587.34,581.94,577.64,586.74,621.44,678.64,705.84,723.34,762.14,789.94,810.44,840.14,878.64,905.44,924.14,942.2
94      Equipment267.5269.7271.3271.9270.6272.7276.2280.1282.5285.6288.9293.0295.1295.9297.6299.7301.3303.2305.2306.9
95      Intellectual property products91.992.793.796.497.699.199.7101.8104.1106.1108.0109.4112.3114.4116.7117.7119.1120.7122.3124.1
96   Financial assets45,164.446,361.947,968.648,653.849,519.448,546.650,470.952,946.954,522.454,780.052,131.653,925.055,762.455,534.857,234.758,121.860,145.360,967.662,813.065,000.1
97      Currency and deposits6,637.26,647.56,615.56,784.86,802.96,780.66,863.96,941.87,057.17,273.77,412.97,631.77,718.47,815.57,851.38,139.58,226.28,219.98,291.78,485.3
98            Currency and transferable deposits291.9348.1343.6396.1336.9335.3341.6423.7443.1506.3644.3752.2734.3764.2767.0899.1925.7908.3896.31,035.0
99            Foreign deposits65.565.666.062.758.561.363.967.369.665.364.457.455.950.952.349.752.956.256.752.5
100            Time and savings deposits6,279.86,233.76,206.06,326.06,407.56,383.96,458.46,450.86,544.56,702.16,704.26,822.26,928.27,000.47,032.07,190.77,247.57,255.47,338.77,397.8
101            Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
102      Debt securities4,917.64,644.34,650.74,601.14,669.64,617.24,293.84,707.64,576.34,315.94,127.44,175.44,095.04,104.44,074.13,995.63,844.53,767.83,696.93,684.0
103         Open market paper5.615.123.422.721.620.621.021.122.621.620.119.419.919.219.118.818.017.817.615.0
104         Treasury securities511.4577.5740.0854.0996.91,144.81,102.91,126.6969.0782.0639.4707.0819.7851.5871.6929.3955.51,004.2977.7949.0
105         Agency- and GSE-backed securities (1)850.3556.4526.4357.4388.9324.8279.6335.4447.9397.2323.4300.2222.0216.9166.6152.795.9106.394.897.7
106         Municipal securities1,751.21,780.11,786.01,827.91,865.61,864.11,842.81,871.51,874.51,848.71,831.51,805.91,779.71,778.11,718.31,661.01,669.01,664.71,640.21,617.7
107         Corporate and foreign bonds1,799.21,715.31,574.81,539.21,396.51,263.01,047.51,353.11,262.31,266.31,312.91,343.01,253.71,238.71,298.51,233.91,106.0974.7966.61,004.6
108      Loans899.6906.7931.2928.3927.0925.0930.0929.9934.7980.4989.4924.7919.0930.5932.3930.5915.1963.0957.3980.3
109         Short term787.6794.8819.8817.4817.7819.1827.0829.8834.5880.6888.4824.0821.6837.0842.1843.6830.0879.9876.0900.5
110         Long term (mortgages)112.0111.9111.4110.9109.3105.9102.9100.1100.399.8101.0100.897.493.590.286.985.183.181.379.8
111      Equity and investment fund shares16,791.217,720.618,741.218,975.219,301.418,569.920,052.521,394.322,648.422,792.020,481.221,675.022,927.422,686.424,008.724,544.026,160.326,847.128,311.329,811.0
112         Corporate equities5,000.06,037.27,117.77,255.57,486.36,788.97,805.68,679.99,409.59,408.77,690.68,475.69,145.08,813.59,519.39,623.910,590.410,868.711,595.512,451.3
113         Mutual fund shares3,121.23,564.73,965.94,104.04,269.74,025.14,367.54,641.15,047.45,178.94,475.84,661.85,231.35,203.15,514.35,705.46,196.26,349.86,759.67,152.4
114         Money market fund shares1,554.11,483.11,358.21,313.11,199.01,141.31,126.91,130.11,098.91,088.11,099.51,114.91,055.61,030.61,055.41,123.91,069.61,062.41,109.21,145.2
115         Equity in noncorporate business7,115.96,635.66,299.36,301.66,344.36,611.56,748.96,939.47,088.67,112.27,211.07,418.37,491.17,634.97,915.48,086.48,299.88,561.88,842.69,057.7
116         Equity investment under Public-Private
             Inv. Program (2)
0.00.00.00.92.13.13.63.83.94.14.44.44.44.44.44.44.44.44.44.4
117      Insurance, pension and standardized
          guarantee schemes
15,918.816,442.817,029.917,364.417,818.617,653.918,330.718,973.319,305.919,418.019,120.719,518.220,102.619,997.920,368.220,512.220,999.321,169.921,555.822,039.5
118         Insurance receivables due from
             property-casualty insurance companies
339.4342.1345.4346.0336.0329.5322.3310.8315.6326.7335.0347.5339.4334.6329.6329.8337.9349.9360.2369.5
119         Life insurance reserves1,051.51,072.71,095.51,109.21,115.41,098.51,122.81,137.21,156.11,170.01,170.21,199.01,199.51,172.61,180.61,186.11,194.81,201.61,218.31,232.8
120         Pension entitlements (3)14,100.814,598.215,152.515,455.115,912.215,764.216,412.717,031.717,337.817,428.517,107.017,444.718,038.017,965.818,330.218,457.818,930.719,085.219,440.819,886.1
121         Non-life insurance reserves at life
             insurance companies
267.4268.9274.6273.6275.7281.2288.5290.7293.6296.3303.0305.5305.5301.7306.4303.7302.3302.0305.6304.2
122         Retiree Health Care Funds159.6160.8161.9180.4179.3180.5184.4202.9202.8196.5205.4221.4220.3223.1221.5234.8233.6231.3231.0246.9
123Total liabilities and net worth69,078.169,972.071,483.972,330.973,219.072,254.273,864.376,265.077,737.977,950.975,343.577,272.179,419.479,630.181,799.383,169.685,887.287,435.689,900.392,669.2
124   Liabilities14,104.514,078.814,079.414,062.113,922.113,867.613,821.613,781.513,729.513,644.813,567.213,574.013,559.513,584.513,558.613,646.113,596.913,621.513,740.413,801.2
125      Debt securities (municipals)259.9263.7265.4265.4266.6264.3261.6263.2262.8261.7256.8255.5253.8249.5245.6241.0239.4235.7232.4227.8
126      Loans13,571.013,532.813,521.713,496.413,360.113,314.313,281.313,244.713,192.513,108.113,036.213,044.313,028.513,055.013,031.513,126.213,077.413,103.613,226.413,290.5
127         Short term2,791.72,793.92,845.02,873.62,879.72,902.72,953.83,122.83,126.93,102.83,083.43,144.43,186.13,268.83,290.03,429.33,427.43,474.33,583.53,671.1
128            Consumer credit2,584.72,554.32,560.42,552.82,491.72,477.72,503.42,647.42,629.82,654.72,704.82,755.92,748.92,799.42,859.52,923.62,923.82,966.43,036.63,097.9
129            Depository institution loans n.e.c.-60.9-42.1-22.1-15.957.473.381.061.045.0-1.6-11.011.531.787.323.162.656.364.692.392.7
130            Other loans and advances133.5134.0133.0133.7134.3134.7135.8136.1136.4136.9137.8138.1137.8137.6138.3139.3139.4140.7140.9141.3
131            Security credit134.3147.7173.8203.0196.4217.0233.7278.2315.7312.9251.9238.9267.7244.5269.1303.7307.9302.6313.7339.2
132         Long term (mortgages)10,779.310,738.910,676.610,622.810,480.410,411.710,327.510,121.910,065.610,005.39,952.89,899.99,842.49,786.39,741.59,696.99,650.09,629.39,642.99,619.4
133      Insurance, pension and standardized
          guarantee schemes
26.524.824.522.124.625.522.624.725.225.624.424.326.228.028.424.925.927.826.827.9
134      Other accounts payable (trade debt)247.1257.5267.8278.2270.8263.5256.1248.8249.1249.4249.7250.0251.0252.0253.0254.0254.3254.5254.8255.0
135   Net worth54,973.555,893.357,404.658,268.859,296.958,386.660,042.762,483.664,008.464,306.161,776.363,698.165,859.966,045.668,240.869,523.572,290.373,814.176,159.978,868.0
       Footnotes


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