Integrated Macroeconomic Accounts for the United States Table

S.5.q Nonfinancial Corporate Business
  
Today is: 4/7/2013   Last Revised on March 12, 2013  
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Line      2008   
I
   2008   
II
   2008   
III
   2008   
IV
   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
                                              
                                                 Current account
1Gross value added6,955.86,964.77,094.86,950.56,633.66,527.76,521.46,680.76,828.16,894.97,033.77,053.07,200.67,367.07,418.67,480.57,605.57,670.87,693.7---  
2Less: Consumption of fixed capital852.2858.8869.6876.6874.2863.5856.6855.7855.3857.8860.7866.6876.0888.8900.3909.7920.8930.8937.1945.7
3Equals: Net value added6,103.66,105.96,225.26,073.85,759.45,664.25,664.85,825.05,972.86,037.16,173.06,186.46,324.66,478.26,518.46,570.86,684.76,740.16,756.5---  
4   Compensation of employees (paid)4,456.34,450.24,445.94,412.34,209.24,174.44,150.54,160.94,176.84,235.04,288.64,307.54,435.14,465.04,487.94,502.94,607.14,644.84,673.74,713.1
5      Wages and salaries3,707.23,691.03,680.13,647.23,464.83,434.83,415.33,426.43,440.23,493.73,542.53,557.13,658.03,681.53,699.63,710.83,803.03,837.23,861.33,893.5
6      Employers' social contributions749.1759.2765.9765.1744.4739.6735.2734.5736.6741.4746.1750.4777.1783.5788.3792.1804.1807.6812.4819.6
7   Taxes on production and imports less subsidies613.4620.5619.9606.9584.4587.9584.4600.0605.8609.4614.2619.3637.8646.3646.0653.1656.1657.8656.9659.7
8   Operating surplus, net1,033.91,035.21,159.41,054.6965.8901.8929.91,064.21,190.11,192.61,270.31,259.61,251.71,367.01,384.41,414.81,421.61,437.51,425.9---  
9Net national income/Balance of primary incomes,
    net
496.3494.0564.1537.3529.8526.9573.6687.8799.9821.5884.8874.9855.1921.7925.3941.4945.8956.4948.7---  
10   Operating surplus, net1,033.91,035.21,159.41,054.6965.8901.8929.91,064.21,190.11,192.61,270.31,259.61,251.71,367.01,384.41,414.81,421.61,437.51,425.9---  
11   Property income received, net-537.6-541.2-595.3-517.3-436.0-374.9-356.2-376.4-390.3-371.2-385.5-384.7-396.7-445.3-459.1-473.5-475.7-481.0-477.2---  
12Net national income/Balance of primary incomes,
    net
496.3494.0564.1537.3529.8526.9573.6687.8799.9821.5884.8874.9855.1921.7925.3941.4945.8956.4948.7---  
13Less: Current taxes on income, wealth, etc. (paid)248.0252.8255.3153.5167.6161.9170.0211.7211.9221.1231.5227.0244.0253.9248.1241.2304.3304.6307.9---  
14Less: Other current transfers (paid)57.954.654.165.776.181.572.679.485.388.291.991.891.991.791.291.390.087.180.581.2
15Equals: Disposable income, net190.4186.6254.7318.1286.0283.5331.0396.7502.6512.2561.3556.1519.1576.1586.0608.9551.6564.8560.3---  
16Equals: Net saving190.4186.6254.7318.1286.0283.5331.0396.7502.6512.2561.3556.1519.1576.1586.0608.9551.6564.8560.3---  
                                              
                                                 Capital account
17Net saving less capital transfers190.5186.7269.1318.2286.1283.7233.0341.3443.7505.0564.5534.1524.3581.3592.8614.5556.5571.2568.2---  
18   Net saving190.4186.6254.7318.1286.0283.5331.0396.7502.6512.2561.3556.1519.1576.1586.0608.9551.6564.8560.3---  
19   Less: Capital transfers paid (net)-0.1-0.1-14.4-0.1-0.1-0.298.055.458.97.2-3.222.1-5.2-5.2-6.8-5.6-5.0-6.4-7.9-33.6
20Capital formation, net288.3298.7231.8174.0-26.7-145.0-168.1-44.651.896.5181.5149.2117.8151.1150.1255.4266.4262.7289.4241.9
        Gross fixed capital formation (acquisition
          of
21   produced nonfinancial assets)1,149.51,156.81,144.11,095.5982.2910.8879.7856.5876.8912.8934.3963.2958.71,002.71,052.41,087.01,116.91,134.41,133.71,156.4
22   Less: Consumption of fixed capital852.2858.8869.6876.6874.2863.5856.6855.7855.3857.8860.7866.6876.0888.8900.3909.7920.8930.8937.1945.7
23   Acquisition of nonproduced nonfinancial assets4.821.03.735.524.1-0.1-4.4-2.1-2.2-1.6-4.2-2.4-2.5-2.0-1.5-2.2-1.6-1.9-4.0---  
24   Change in private inventories-13.8-20.4-46.5-80.4-158.7-192.1-186.8-43.332.543.1112.155.037.639.2-0.580.271.961.096.934.8
25Net lending (+) or borrowing (-), capital
    account (lines 17-20)
-97.7-112.037.3144.2312.9428.7401.1385.9391.9408.5383.0384.9406.5430.2442.7359.1290.1308.5278.8---  
                                         Financial
                                           account
26Net lending (+) or borrowing (-), capital
    account (line 25)
-97.7-112.037.3144.2312.9428.7401.1385.9391.9408.5383.0384.9406.5430.2442.7359.1290.1308.5278.8---  
27Net acquisition of financial assets-457.6-381.1-638.6-938.6-108.4226.3463.2647.9677.1527.4729.8521.8662.7790.71,048.2963.1753.9767.9835.7870.3
28   Currency and deposits-272.711.0-81.9-446.769.9-15.5588.8371.1117.9107.0169.5178.7135.1103.976.134.96.38.6218.662.8
29      Currency and transferable deposits-120.2-114.37.2-223.157.61.2176.0324.684.586.259.666.695.663.674.934.713.493.6158.589.9
30      Time and savings deposits-171.6198.1-68.1-196.18.2-18.8412.825.57.018.6121.492.711.767.615.513.243.3-39.565.1-33.6
31      Foreign deposits19.1-72.8-21.0-27.54.12.00.121.126.32.2-11.519.327.8-27.2-14.3-12.9-50.5-45.4-5.06.5
32   Debt securities-130.50.92.524.415.420.7-9.138.215.114.059.8-26.6-28.3-6.2-30.510.759.623.267.1-45.9
33      Open market paper-37.9-6.05.6-10.4-10.01.7-11.714.817.29.541.4-20.219.2-13.2-35.5-4.720.3-25.724.612.5
34      Treasury securities-44.36.2-13.219.842.63.1-4.28.5-2.410.57.54.5-22.3-3.811.714.721.146.420.8-45.9
35      Agency- and GSE-backed securities (1)-14.82.1-4.46.6-1.817.0-1.42.812.63.52.5-11.8-7.412.1-9.44.97.05.56.9-5.3
36      Municipal securities-33.5-1.414.48.4-15.4-1.28.212.1-12.4-9.68.41.0-17.8-1.32.7-4.211.0-2.914.7-7.2
37   Loans7.7-3.4-50.90.413.21.4-31.1-15.929.43.0-21.6-9.133.53.2-34.5-5.539.52.1-42.2-1.2
38      Short term (security RPs and consumer
          credit)
15.34.3-43.28.217.35.5-26.9-11.830.94.5-20.1-7.535.04.8-33.0-3.941.03.7-40.60.3
39      Long term (mortgages)-7.7-7.7-7.8-7.8-4.0-4.1-4.1-4.1-1.5-1.6-1.6-1.6-1.6-1.6-1.6-1.6-1.6-1.6-1.6-1.6
40   Equity and investment fund shares605.1336.2178.7507.9284.2171.289.9312.7178.231.8289.0307.0392.4423.7172.2456.0334.3149.9385.9346.4
41      Money market fund shares307.622.5-16.1334.723.8-57.9-166.3-75.4-342.0-201.5-39.2-44.7-58.4-50.1-68.846.1-70.1-48.324.366.8
42      Mutual fund shares-16.7-16.7-16.7-16.735.535.535.535.511.211.211.211.2-11.1-11.1-11.1-11.1-11.1-11.1-11.1-11.1
43      U.S. direct investment abroad302.7339.5206.6201.8238.8212.1226.8351.3410.2227.5318.2343.2412.3488.0257.3428.5426.4219.0372.7268.2
44      Equity in government-sponsored enterprises
          (1)
-0.3-0.1-0.10.10.2-0.1-0.10.10.1-0.10.30.30.3-0.3-0.30.10.50.71.11.3
45      Investment in finance company subsidiaries11.8-9.05.1-12.1-14.0-18.4-5.91.298.8-5.3-1.4-3.049.2-2.9-4.9-7.5-11.3-10.4-1.021.2
46   Insurance, pension and standardized guarantee
       schemes (2)
12.618.825.0-12.7-2.40.42.5-4.0-1.011.37.4-5.60.622.913.925.4-9.33.61.525.3
47   Other accounts receivable-679.8-744.5-711.9-1,011.9-488.748.1-177.8-54.3337.5360.5225.777.5129.5243.1851.1441.5323.6580.5204.8482.9
48      Trade receivables-111.0-97.6-192.1-270.3-205.2-107.451.9146.2108.375.9106.396.0113.3213.2234.8176.8214.0111.9158.276.5
49      Other (miscellaneous assets)-568.8-646.9-519.8-741.6-283.5155.5-229.7-200.5229.2284.5119.4-18.516.230.0616.3264.7109.5468.546.7406.4
50Net incurrence of liabilities584.6593.4214.5-36.7-795.0-211.3-68.956.4452.3400.2738.4354.5500.1566.2712.3780.8525.0605.7714.1577.5
51   Debt securities317.6382.1247.3249.4517.4316.7340.8328.3551.6337.4598.5497.9474.0549.9388.2398.8526.3490.3562.7856.4
52      Open market paper42.9-77.362.82.2-138.8-132.82.0-22.750.362.743.8-58.725.849.529.728.5-7.829.2-35.370.6
53      Municipal securities60.988.571.642.941.425.544.437.342.829.024.736.217.713.09.9-6.410.935.211.03.8
54      Corporate bonds213.8370.9112.9204.2614.7424.0294.3313.7458.6245.7530.0520.3430.5487.4348.6376.7523.2426.0587.1782.0
55   Loans320.0126.0120.5-323.4-492.5-424.8-615.0-469.0-477.9-434.4-188.9-115.1-8.673.1105.3148.7-45.930.8-29.545.4
56      Short term256.6131.0236.2-173.3-452.7-352.1-452.3-246.0-350.8-270.3-66.9-14.751.4161.1181.6154.1-16.456.516.31.4
57         Depository institution loans n.e.c.180.854.575.0-53.6-198.0-215.2-326.6-196.4-231.3-115.1-35.448.062.339.999.774.399.086.436.550.4
58         Other loans and advances75.876.5161.2-119.7-254.7-136.9-125.7-49.6-119.5-155.2-31.5-62.7-10.9121.181.979.8-115.4-29.9-20.2-49.0
59      Long term (mortgages)63.4-5.0-115.8-150.2-39.8-72.7-162.7-223.0-127.0-164.1-122.0-100.3-60.0-88.0-76.3-5.4-29.5-25.7-45.944.1
60   Equity and investment fund shares-206.0-30.9-218.6-130.2-127.2184.2230.9-127.4-67.7-149.0-88.1-179.7-208.2-303.6-383.3-167.7-183.4-347.8-279.3-307.9
61      Corporate equities-430.0-218.2-342.8-352.9-133.1126.465.7-317.3-200.2-214.3-336.5-360.9-324.2-510.8-616.0-438.8-291.8-511.1-397.8-425.2
62      Foreign direct investment in the United
          States
224.0187.4124.2222.65.957.8165.2189.9132.565.3248.5181.2116.0207.3232.7271.1108.4163.3118.4117.3
63   Insurance, pension and standardized guarantee
       schemes
1.81.9-0.90.13.518.2-7.0-4.6-2.2-1.3-0.8-0.9-0.6-0.10.51.01.31.31.11.3
64   Other accounts payable151.3114.366.3167.6-696.2-305.5-18.7329.1448.4647.5417.7152.3243.5246.8601.7400.0226.6431.1459.2-17.7
65      Trade payables-88.0-210.7-257.7-344.3-278.9-133.8-19.390.9215.3119.2133.6154.6144.4190.2181.8224.6179.0135.8150.756.1
66      Taxes payable35.6-56.356.7-23.5-39.5-3.817.512.88.01.4-1.420.622.9-13.620.51.7-5.519.0-15.5-0.2
67      Miscellaneous liabilities203.7381.3267.3535.4-377.8-167.9-16.9225.4225.1527.0285.5-22.976.270.3399.4173.853.2276.3324.0-73.6
  Addendum:
68Net lending (+) or borrowing (-), financial
    account (lines 27-50)
-1,042.3-974.5-853.1-902.0686.7437.6532.2591.5224.7127.2-8.6167.3162.6224.5335.9182.3228.9162.2121.6292.8
                       Other changes in volume
                         account
69Total other volume changes-108.2-86.6-106.7-371.920.1-2.694.5142.329.575.922.5261.9128.9171.4118.3289.2135.0126.4123.6178.2
70   Disaster losses0.00.05.80.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.08.3
71   Other volume changes129.387.199.6-103.6-17.0-3.964.134.5101.5139.2118.3256.6197.3200.8138.2292.3183.2163.5157.6144.9
72   Less: Statistical discrepancy ((lines
       25-[27-50])/4) (3)
270.7211.6229.6224.0-58.4-7.0-26.5-87.977.764.1102.520.196.944.530.511.451.828.541.8-20.3
73   Less: Inventory valuation adjustment-33.3-37.9-17.644.321.25.7-3.9-19.8-5.8-0.8-6.7-25.4-28.5-15.1-10.6-8.4-3.58.6-7.8-4.6
                                           
                                              Revaluation account
74   Nonfinancial assets-229.9-413.0200.7-655.6-835.7-1,433.2-670.2-23.4-199.6634.8157.2382.9360.8-50.636.1456.022.741.7322.2108.8
75      Real estate-265.8-466.8188.4-606.7-841.1-1,446.9-670.9-23.5-201.3625.3115.9330.7303.3-77.721.1451.9-11.746.1290.886.0
76      Equipment and software6.716.540.140.210.8-1.6-9.2-11.6-17.113.924.025.517.221.414.512.622.311.515.719.5
77      Inventories29.237.2-27.8-89.1-5.415.310.011.718.8-4.517.326.740.25.70.6-8.512.1-15.815.83.3
78   Financial assets-12.7-1.5-15.4-169.9-6.511.913.5-47.94.1-13.012.0-98.86.4-0.8-21.1-29.213.1-6.06.11.2
79      Mutual fund shares-12.7-1.5-15.4-25.5-6.511.913.51.34.1-13.012.010.46.4-0.8-21.17.513.1-6.06.11.2
80      Direct investment abroad0.00.00.0-144.40.00.00.0-49.20.00.00.0-109.20.00.00.0-36.60.00.00.00.0
81   Liabilities-1,258.32.7-1,530.6-2,693.2-1,030.91,328.31,528.0566.3469.4-1,370.71,501.01,584.51,079.056.6-2,160.71,598.71,725.9-420.8895.9-103.7
82      Corporate equity-1,257.82.7-1,530.6-2,592.5-1,029.61,328.31,528.0733.4469.4-1,370.71,501.01,607.81,079.356.6-2,160.71,564.01,725.9-420.8895.9-103.7
83      Foreign direct investment in the United
          States
-0.50.00.0-100.7-1.30.00.0-167.2-0.10.00.0-23.3-0.30.00.034.70.00.00.00.0
84Changes in net worth due to nominal holding
    gains/losses
1,015.6-417.21,715.81,867.7188.7-2,749.6-2,184.6-637.6-664.81,992.5-1,331.8-1,300.4-711.8-108.02,175.7-1,171.9-1,690.0456.6-567.6213.6
                    Changes in balance sheet account
85Change in net worth ((lines 20+25)/4 + lines
    69+84) (4)
955.1-457.21,676.41,575.3280.4-2,681.2-2,031.9-410.0-524.42,194.6-1,168.1-905.0-451.9208.82,442.2-729.0-1,415.9725.8-301.9536.1
                       Balance sheet account (end
                         of period)
86Total assets30,196.929,802.029,861.028,861.227,882.426,502.525,967.426,187.526,147.126,993.527,390.828,037.228,642.528,849.229,102.829,973.430,285.230,558.631,196.431,618.8
87   Nonfinancial assets (5)16,638.516,345.216,619.815,923.515,046.113,554.212,851.012,847.412,647.213,412.413,585.714,016.214,461.214,466.714,547.815,090.815,185.715,281.415,680.415,857.4
88      Real estate10,698.710,292.510,531.29,946.19,136.97,701.87,055.07,053.06,842.17,584.77,676.18,006.68,344.78,284.98,321.38,810.18,826.28,896.39,210.59,327.8
89      Equipment and software4,047.94,090.74,148.54,190.84,188.94,170.54,146.94,124.64,102.64,118.14,148.04,182.14,211.14,245.84,279.44,313.64,358.74,393.54,430.64,473.6
90      Inventories1,891.91,961.91,940.11,786.61,720.31,681.91,649.01,669.81,702.51,709.51,761.61,827.41,905.51,936.11,947.21,967.12,000.81,991.62,039.32,056.0
91   Financial assets13,558.413,456.913,241.312,937.712,836.312,948.313,116.413,340.213,499.913,581.213,805.214,021.014,181.214,382.514,554.914,882.615,099.615,277.215,516.015,761.4
92      Currency and deposits566.6569.3548.9437.2454.7450.8598.0690.8720.3747.0789.4834.0867.8893.7912.7921.4923.0925.1979.8995.4
93         Currency and transferable deposits113.184.686.430.645.045.389.3170.5191.6213.2228.0244.7268.6284.4303.1311.8315.1338.5378.1400.6
94         Time and savings deposits398.4447.9430.9381.9383.9379.2482.4488.8490.5495.2525.5548.7551.6568.5572.4575.7586.5576.6592.9584.5
95         Foreign deposits55.036.831.624.725.726.226.331.538.138.735.840.647.640.837.234.021.410.08.810.4
96      Debt securities110.0117.1115.1124.1123.0133.8128.2140.4141.0148.5160.2155.9146.9148.2137.1142.4156.8164.1177.3168.4
97         Open market paper52.958.357.057.349.955.949.756.057.163.670.768.070.870.458.059.464.159.161.767.4
98         Treasury securities27.228.825.530.541.141.940.843.042.445.046.948.042.441.544.448.153.465.070.258.7
99         Agency- and GSE-backed securities (1)9.19.68.510.29.714.013.614.317.518.319.016.014.217.214.816.017.819.220.919.6
100         Municipal securities20.820.524.126.222.322.024.127.124.021.623.723.919.519.219.918.821.620.824.522.7
101      Loans102.0101.196.297.192.591.590.989.191.290.792.793.291.891.891.192.491.491.789.091.9
102         Short term62.663.660.663.559.859.860.359.562.061.964.365.264.264.664.365.965.466.163.867.1
103            Security repurchases7.18.15.37.27.57.99.07.99.09.211.512.112.713.012.112.913.914.411.614.0
104            Consumer credit55.555.655.356.352.451.951.351.753.052.752.753.151.551.752.253.151.551.752.253.1
105         Long term (mortgages)39.537.535.633.632.631.630.629.529.228.828.428.027.627.226.826.426.025.625.224.9
106      Equity and investment fund shares3,856.03,944.73,987.13,908.83,980.84,043.14,091.64,094.34,149.44,154.74,251.14,168.24,279.04,392.74,427.64,484.64,588.04,629.74,744.94,802.2
107         Money market fund shares625.3631.0626.9710.6716.6702.1660.5641.7556.2505.8496.0484.8470.2457.7440.5452.0434.5422.4428.5445.2
108         Mutual fund shares161.1155.4135.8106.2108.6129.4151.7161.9168.8158.6173.5186.6190.3186.7162.8167.5177.8169.0172.4170.8
109         U.S. direct investment abroad2,984.63,075.73,140.53,011.13,078.33,138.83,208.13,219.13,328.03,395.33,486.93,434.73,544.13,674.73,752.03,794.63,908.03,973.24,079.34,116.2
110         Equity in government-sponsored
             enterprises (1)
0.40.40.40.40.50.50.40.50.50.40.50.60.70.60.50.50.70.60.60.6
111         Investment in finance company
             subsidiaries
84.582.283.580.576.972.370.971.295.994.694.261.473.773.071.869.967.164.564.269.5
112      Insurance, pension and standardized
          guarantee schemes (2)
303.3308.0314.2311.1310.5310.6311.2310.2310.0312.8314.7313.2313.3319.0322.4328.7326.4327.5328.1334.8
113      Other accounts receivable8,620.58,416.68,179.88,059.47,874.97,918.67,896.58,015.48,088.18,127.38,197.18,456.48,482.48,537.08,664.08,913.19,013.99,139.19,196.99,368.8
114         Trade receivables2,285.92,304.32,236.42,084.62,092.92,113.42,106.22,056.02,140.02,207.52,213.02,148.92,238.82,340.72,377.82,333.52,449.72,526.82,544.22,473.6
115         Other (miscellaneous assets)6,334.66,112.25,943.45,974.85,782.15,805.25,790.35,959.45,948.15,919.85,984.26,307.56,243.66,196.36,286.26,579.66,564.26,612.36,652.76,895.1
116Total liabilities and net worth30,196.929,802.029,861.028,861.227,882.426,502.525,967.426,187.526,147.126,993.527,390.828,037.228,642.528,849.229,102.829,973.430,285.230,558.631,196.431,618.8
117   Liabilities27,371.827,434.225,816.723,241.621,982.523,283.824,780.525,410.725,894.624,546.426,111.927,663.228,720.428,718.426,529.728,129.329,857.129,404.730,344.430,230.7
118      Debt securities4,282.54,403.34,452.74,501.04,637.54,733.54,801.84,876.85,015.25,095.25,246.45,373.15,510.75,634.65,738.45,825.85,969.26,090.36,239.96,434.8
119         Open market paper140.0139.8146.5131.5106.986.272.958.473.682.097.982.9110.5106.9124.7116.3127.6132.1136.1130.5
120         Municipal securities360.0388.3402.8415.0422.4433.1441.1452.2460.7471.0473.8485.4487.8493.4492.2493.9495.2505.3504.1509.1
121         Corporate bonds3,782.53,875.23,903.43,954.54,108.24,214.24,287.84,366.24,480.84,542.24,674.74,804.84,912.45,034.35,121.45,215.65,346.45,452.95,599.75,795.2
122      Loans3,039.33,076.93,102.83,028.92,902.42,801.32,649.82,444.62,330.52,227.02,182.02,102.42,089.62,112.32,139.92,183.62,153.22,165.62,210.82,228.5
123         Short term2,085.42,122.72,181.22,145.02,029.81,945.61,832.81,685.11,601.31,537.61,521.01,458.71,459.71,503.31,547.91,595.51,570.01,587.91,642.51,652.5
124            Depository institution loans n.e.c.752.9760.1783.4780.0720.4661.5583.2546.0495.0463.0455.6480.9484.1492.4516.9549.8542.4566.2574.8605.3
125            Other loans and advances1,332.51,362.71,397.81,364.91,309.31,284.11,249.61,139.11,106.31,074.61,065.4977.9975.61,010.91,031.01,045.81,027.61,021.71,067.61,047.2
126         Long term (mortgages)953.9954.1921.6883.9872.6855.7817.0759.5729.2689.4661.0643.6629.9609.1592.0588.0583.2577.7568.3576.0
127      Equity and investment fund shares16,384.016,381.914,800.412,066.911,007.512,384.113,973.714,498.614,953.113,548.515,035.316,561.717,589.617,572.715,321.316,869.718,550.918,047.418,878.918,687.3
128         Corporate equity14,365.514,313.612,697.410,016.68,953.810,313.711,858.112,512.212,931.611,507.312,924.214,441.815,440.015,368.913,054.214,508.516,161.515,612.916,409.316,199.4
129         Foreign direct investment in the United
             States
2,018.62,068.32,103.12,050.32,053.72,070.42,115.61,986.42,021.52,041.22,111.02,119.92,149.62,203.82,267.12,361.12,389.42,434.62,469.62,488.0
130      Insurance, pension and standardized
          guarantee schemes
47.748.247.947.948.853.451.650.549.949.649.449.249.049.049.149.449.750.050.350.6
131      Other accounts payable3,618.33,523.93,412.83,596.83,386.33,311.53,303.73,540.23,546.03,626.13,598.73,576.83,481.43,349.83,281.03,200.93,134.13,051.42,964.62,829.5
132         Trade payables1,859.01,818.81,748.91,672.71,586.51,565.41,554.61,587.51,625.61,666.91,694.51,743.21,763.51,822.11,861.51,927.31,957.12,002.62,036.22,062.3
133         Taxes payable55.037.954.139.040.234.641.735.749.543.947.142.960.750.659.550.762.058.959.550.2
134         Miscellaneous liabilities1,704.41,667.21,609.91,885.21,759.61,711.51,707.41,917.01,870.91,915.31,857.21,790.81,657.21,477.01,359.91,223.01,115.0989.8868.8717.1
135   Net worth2,825.02,367.94,044.35,619.65,900.03,218.81,186.9776.9252.52,447.11,278.9374.0-77.9130.92,573.11,844.1428.11,153.9852.01,388.1
       Footnotes


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