Integrated Macroeconomic Accounts for the United States Table

S.5.q Nonfinancial Corporate Business
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 8/1/2014   Last Revised on June 16, 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 added6,843.66,804.26,811.56,986.47,076.17,193.87,346.87,355.87,464.47,638.07,715.67,727.57,949.78,007.08,002.98,163.88,163.48,256.58,333.08,428.3
2Less: Consumption of fixed capital1,105.01,091.41,084.11,087.41,087.81,091.61,095.11,103.91,115.31,130.41,143.21,154.11,168.81,184.11,195.21,204.71,218.51,231.61,243.81,257.4
3Equals: Net value added5,738.65,712.85,727.45,899.05,988.36,102.26,251.86,252.06,349.16,507.56,572.46,573.46,781.06,822.96,807.76,959.16,944.97,024.97,089.17,170.9
4   Compensation of employees (paid)4,081.34,091.04,079.14,102.34,086.74,157.34,198.24,229.84,339.74,361.54,407.74,388.34,549.14,570.54,589.14,694.54,654.74,715.64,751.54,796.7
5      Wages and salaries3,371.73,379.73,369.93,388.83,379.73,437.43,470.83,496.63,596.43,614.23,652.13,636.23,782.33,799.93,815.23,901.73,869.13,924.63,956.03,995.9
6      Employers' social contributions709.6711.4709.2713.4707.0720.0727.4733.2743.4747.3755.7752.1766.8770.6773.9792.8785.6791.1795.5800.8
7   Taxes on production and imports less subsidies601.6604.5600.8616.6624.6631.1636.3640.1656.9665.7663.5670.5685.8684.8683.2687.6697.3696.2702.6708.4
8   Operating surplus, net1,055.71,017.31,047.51,180.11,277.11,313.71,417.31,382.11,352.41,480.31,501.21,514.61,546.11,567.61,535.31,577.01,593.01,613.11,635.01,665.8
9Net national income/Balance of primary incomes,
    net
571.8584.3632.8744.4835.1879.6959.9935.0902.8976.6980.7981.5995.81,005.1981.41,006.51,016.71,029.51,043.51,063.1
10   Operating surplus, net1,055.71,017.31,047.51,180.11,277.11,313.71,417.31,382.11,352.41,480.31,501.21,514.61,546.11,567.61,535.31,577.01,593.01,613.11,635.01,665.8
11   Property income received, net-483.9-433.0-414.7-435.7-441.9-434.2-457.4-447.1-449.6-503.6-520.5-533.1-550.2-562.5-553.9-570.5-576.3-583.6-591.5-602.7
12Net national income/Balance of primary incomes,
    net
571.8584.3632.8744.4835.1879.6959.9935.0902.8976.6980.7981.5995.81,005.1981.41,006.51,016.71,029.51,043.51,063.1
13Less: Current taxes on income, wealth, etc. (paid)167.7161.8170.0212.0208.8220.2229.3223.9216.1226.0229.8217.3252.5257.8249.1268.4266.6264.1263.7273.2
14Less: Other current transfers (paid)68.777.871.275.880.581.285.086.088.388.190.590.399.596.389.784.380.182.779.680.9
15Equals: Disposable income, net335.5344.7391.7456.6545.8578.1645.5625.1598.4662.6660.4673.9643.8651.0642.6653.8670.0682.7700.1709.0
16Equals: Net saving335.5344.7391.7456.6545.8578.1645.5625.1598.4662.6660.4673.9643.8651.0642.6653.8670.0682.7700.1709.0
                                              
                                                 Capital account
17Net saving less capital transfers335.6344.9293.6401.2487.0571.2649.0603.6604.2668.3667.9680.6649.8658.4651.6698.2679.6688.3704.6711.9
18   Net saving335.5344.7391.7456.6545.8578.1645.5625.1598.4662.6660.4673.9643.8651.0642.6653.8670.0682.7700.1709.0
19   Less: Capital transfers paid (net)-0.1-0.298.055.458.86.9-3.621.5-5.8-5.7-7.5-6.7-6.0-7.4-9.0-44.4-9.6-5.7-4.5-2.8
20Capital formation, net-13.4-122.7-159.8-35.349.6128.8224.1193.5144.6195.8180.3310.3331.2315.5340.4298.0275.6301.6370.8385.5
        Gross fixed capital formation (acquisition
          of
21   produced nonfinancial assets)1,204.71,144.21,117.21,101.51,126.51,169.01,196.31,232.41,235.51,277.01,333.21,375.31,402.51,431.51,441.71,479.81,462.11,489.01,509.81,539.5
22   Less: Consumption of fixed capital1,105.01,091.41,084.11,087.41,087.81,091.61,095.11,103.91,115.31,130.41,143.21,154.11,168.81,184.11,195.21,204.71,218.51,231.61,243.81,257.4
23   Acquisition of nonproduced nonfinancial assets25.12.2-1.0-1.2-1.4-0.4-0.9-1.7-1.6-1.1-0.2-0.6-0.4-0.5-0.4-0.4-1.0-0.9-1.5-1.9
24   Change in private inventories-138.1-177.8-192.0-48.212.451.9123.866.826.050.3-9.589.697.868.794.323.333.045.0106.3105.3
25Net lending (+) or borrowing (-), capital
    account (lines 17-20)
349.0467.6453.4436.5437.4442.4424.9410.0459.6472.5487.6370.3318.6342.9311.2400.2404.0386.7333.9326.4
                                         Financial
                                           account
26Net lending (+) or borrowing (-) (line 25)349.0467.6453.4436.5437.4442.4424.9410.0459.6472.5487.6370.3318.6342.9311.2400.2404.0386.7333.9326.4
27Net acquisition of financial assets-108.6214.1456.1648.1697.2530.4746.7558.6347.1423.2599.8606.1591.1870.1692.3584.9845.0872.3824.3922.3
28   Currency and deposits67.0-10.5593.3368.1153.190.4158.7192.591.334.7-1.824.332.4-57.9153.583.9160.924.2334.0272.3
29      Currency and transferable deposits14.746.3100.5121.5119.869.748.880.454.3-3.80.168.1-13.5-36.487.822.777.3-92.8175.8217.9
30      Time and savings deposits48.2-58.8492.8225.57.018.6121.492.77.663.812.0-30.556.4-7.547.950.436.760.3145.3-8.2
31      Foreign deposits4.12.00.121.126.32.2-11.519.329.4-25.4-13.9-13.3-10.5-14.017.810.846.856.612.962.5
32   Debt securities19.225.1-13.534.521.717.355.2-31.9-41.4-6.4-11.024.8-79.114.844.0-23.3-93.32.0-27.2-64.9
33      Open market paper-6.26.1-16.111.023.912.936.8-25.626.8-11.7-24.08.5-22.3-8.115.4-17.2-0.7-25.6-29.6-62.3
34      Treasury securities42.63.1-4.28.5-2.410.57.54.5-40.5-7.614.713.2-46.837.513.4-17.9-25.820.51.37.3
35      Agency- and GSE-backed securities (1)-1.817.0-1.42.812.63.52.5-11.8-13.510.8-8.44.4-15.62.54.54.0-28.66.80.42.4
36      Municipal securities-15.4-1.28.212.1-12.4-9.68.41.0-14.22.26.7-1.35.6-17.210.77.8-38.30.30.6-12.2
37   Loans16.9-15.94.5-27.436.8-15.625.4-81.334.0-14.312.1-24.633.5-10.51.1-31.72.9-11.020.4-41.8
38      Short term (security repos and consumer
          credit)
20.9-11.88.6-23.338.3-14.027.0-79.834.6-13.712.7-24.034.3-9.71.9-30.83.8-10.221.3-41.0
39      Long term (mortgages)-4.0-4.1-4.1-4.1-1.5-1.6-1.6-1.6-0.6-0.6-0.6-0.6-0.8-0.8-0.8-0.8-0.8-0.8-0.8-0.8
40   Equity and investment fund shares305.8189.4125.4276.6138.841.4262.0292.1360.4405.7191.5481.9441.4251.7380.3472.6330.4362.1425.7438.9
41      Money market fund shares24.6-64.2-169.0-77.2-345.3-203.5-37.8-44.2-61.8-53.2-72.345.412.6-52.026.186.1-18.1-11.9123.868.5
42      Mutual fund shares35.335.335.335.311.111.111.111.1-12.8-12.8-12.8-12.80.00.00.00.00.80.80.80.8
43      U.S. direct investment abroad259.9236.8265.1317.1374.1239.2289.7310.4386.1474.8281.7456.6428.2314.8355.3364.7291.4368.7300.4372.2
44      Equity in government-sponsored enterprises
          (1)
0.2-0.1-0.10.10.1-0.10.30.30.3-0.3-0.30.10.5-0.30.00.00.3-0.2-0.10.1
45      Investment in finance company subsidiaries-14.0-18.4-5.91.298.8-5.3-1.414.648.6-2.9-4.8-7.40.2-10.7-1.021.856.14.70.8-2.6
46   Insurance, pension and standardized guarantee
       schemes (2)
-5.4-2.6-0.6-7.37.620.016.43.5-4.817.48.119.3-5.58.05.821.6-6.27.31.3-2.6
47   Other accounts receivable-512.128.6-253.03.7339.2376.8229.1183.7-92.4-13.9401.080.4168.5664.0107.761.8450.3487.870.1320.4
48      Trade receivables-203.7-86.713.5152.3101.0103.254.5164.28.1137.076.5113.652.341.4145.495.4193.0170.0138.644.4
49      Other (miscellaneous assets)-308.3115.3-266.5-148.6238.3273.6174.619.5-100.4-150.9324.5-33.2116.1622.6-37.8-33.6257.2317.8-68.5276.0
50Net incurrence of liabilities-789.5-204.8-62.162.2454.3401.7739.5355.7791.9844.7880.31,060.51,068.61,191.51,324.61,200.9949.61,027.21,273.61,109.7
51   Debt securities518.5313.2342.0329.4553.4331.9598.1502.1474.6543.9387.6404.8528.3481.2561.3864.3610.8557.1857.8629.6
52      Open market paper-138.8-132.82.0-22.750.362.743.8-58.725.849.529.728.5-7.929.0-35.570.520.1-20.192.0-35.2
53      Municipal securities42.622.045.638.444.523.524.440.418.36.99.3-0.413.126.29.711.911.36.420.6-0.9
54      Corporate bonds614.7424.0294.3313.7458.6245.7530.0520.3430.5487.4348.6376.7523.2426.0587.1782.0579.4570.8745.3665.8
55   Loans-561.4-424.5-606.7-512.8-444.4-437.5-208.1-138.0-29.064.963.1101.9-11.279.9-12.1151.711.7241.996.381.2
56      Short term-511.3-335.9-445.8-286.3-337.5-258.9-74.6-38.660.5175.2149.1131.34.476.49.197.042.9220.857.112.3
57         Depository institution loans n.e.c.-202.5-218.1-320.2-195.3-242.0-123.8-27.945.851.232.9115.975.780.595.659.286.320.457.556.350.3
58         Other loans and advances-308.8-117.8-125.6-91.0-95.4-135.0-46.8-84.49.4142.433.355.6-76.1-19.2-50.110.722.5163.30.7-38.0
59      Long term (mortgages)-50.2-88.7-160.9-226.5-107.0-178.7-133.4-99.4-89.5-110.3-86.1-29.5-15.63.5-21.254.7-31.221.139.269.0
60   Equity and investment fund shares-124.0188.1230.3-124.3-83.7-115.8-69.2-212.8-228.7-312.7-396.0-170.6-114.8-332.8-259.9-230.2-159.8-279.8-255.9-258.7
61      Corporate equities-131.3130.267.0-314.4-198.8-214.4-335.8-360.6-324.9-510.1-616.6-437.4-291.3-507.8-395.4-403.4-256.2-423.3-452.8-502.1
62      Foreign direct investment in the United
          States
7.257.9163.3190.1115.098.6266.7147.996.2197.4220.5266.8176.5175.1135.5173.296.4143.5196.9243.3
63   Insurance, pension and standardized guarantee
       schemes
73.274.575.174.21.80.90.2-0.7-9.9-9.7-9.3-9.368.217.813.996.849.736.749.180.1
64      Pension fund contributions payable-8.4-8.4-8.4-8.415.415.415.415.43.03.03.03.0-1.81.6-0.7-2.50.80.4-1.1-3.9
65      Claim of pension fund on sponsor81.782.983.582.6-13.6-14.5-15.2-16.1-12.9-12.7-12.3-12.370.116.214.699.448.936.450.284.1
66   Other accounts payable-695.8-356.2-102.7295.7427.2622.2418.4205.1584.9558.3835.0733.8598.1945.51,021.3318.2437.3471.3526.2577.5
67      Trade payables-286.3-128.7-18.6103.5200.7123.4132.0169.2-28.835.623.670.470.196.0124.342.4137.8120.2143.171.1
68      Taxes payable-38.2-3.917.411.710.60.6-0.417.826.2-14.523.00.5-3.119.9-9.52.0-17.1-22.2-5.44.3
69      Miscellaneous liabilities-371.2-223.5-101.5180.5215.9498.3286.818.1587.5537.2788.4662.8531.1829.6906.5273.8316.5373.3388.4502.0
  Addendum:
70Net lending (+) or borrowing (-), financial
    account (lines 27-50)
680.9418.9518.2586.0242.9128.77.2202.9-444.8-421.5-280.5-454.4-477.5-321.5-632.3-616.0-104.6-154.9-449.2-187.4
                       Other changes in volume
                         account
71Total other volume changes-96.5-63.957.3275.5150.690.2-28.7203.4-25.1-22.2-17.9-7.2-28.048.0-117.7-118.036.465.4-43.7129.0
72   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-6.90.00.00.00.0
73   Other volume changes-120.6-53.341.5187.0226.4153.374.9203.1209.0171.7170.2168.5204.5202.5115.0114.1199.4186.9154.2233.1
74   Less: Statistical discrepancy ((lines
       25-70)/4) (3)
-47.45.2-10.7-71.585.868.3108.220.9264.1210.9195.0177.8237.4152.0238.3227.3166.3119.2197.5103.9
75   Less: Inventory valuation adjustment23.45.4-5.1-17.1-10.0-5.2-4.5-21.3-30.0-17.0-6.9-2.1-4.92.5-5.5-2.1-3.32.20.40.3
                                           
                                              Revaluation account
76   Nonfinancial assets-541.9-1,188.9-949.968.6-199.5613.0148.8313.7359.3-42.631.1478.357.458.3347.595.2176.1368.0419.1278.4
77      Real estate-538.8-1,198.4-961.553.8-205.1598.7106.4241.7291.8-88.316.4473.916.168.4312.987.4166.8379.0412.1273.0
78      Equipment16.52.5-6.4-22.7-22.516.027.227.712.221.712.715.612.6-4.46.16.7-3.6-4.82.7-0.6
79      Intellectual property products-9.0-8.63.617.01.810.7-2.412.110.814.24.2-1.517.719.68.8-0.88.83.08.07.5
80      Inventories-10.615.614.420.526.3-12.517.632.244.69.8-2.2-9.811.1-25.319.71.84.0-9.2-3.7-1.5
81   Financial assets32.255.931.8-135.2-102.2-28.657.6-58.80.443.5-39.4-19.7-13.0-34.160.5-24.1-38.8-32.623.230.7
82      Mutual fund shares-6.612.013.61.44.2-13.112.110.46.4-0.8-21.07.412.1-6.06.22.09.01.58.711.4
83      Direct investment abroad38.743.918.2-136.5-106.4-15.545.5-69.2-6.044.4-18.4-27.1-25.1-28.154.3-26.1-47.8-34.114.619.3
84   Liabilities-1,098.31,321.11,527.8638.6480.0-1,386.61,481.71,546.91,096.999.3-2,108.41,503.21,459.2-347.91,093.7-177.91,773.5414.41,272.01,728.5
85      Corporate equity-1,030.01,327.41,527.6732.7458.9-1,389.51,481.61,585.71,083.976.1-2,130.71,572.31,461.8-360.61,083.6-153.91,786.8429.01,302.51,710.3
86      Foreign direct investment in the United
          States
-68.3-6.30.1-94.121.12.90.1-38.813.023.222.3-69.1-2.712.610.1-24.1-13.2-14.6-30.418.2
87Changes in net worth due to nominal holding
    gains/losses
588.5-2,454.1-2,445.8-705.2-781.81,971.1-1,275.3-1,292.0-737.2-98.32,100.1-1,044.6-1,414.7372.2-685.6249.0-1,636.2-79.0-829.8-1,419.5
                    Changes in balance sheet account
88Change in net worth ((lines 20+25)/4 + lines
    71+87) (4)
575.9-2,431.8-2,315.2-329.4-509.42,204.1-1,141.8-937.7-611.346.62,249.2-881.7-1,280.3584.8-640.5305.5-1,429.9158.5-697.3-1,112.5
                       Balance sheet account (end
                         of period)
89Total assets28,858.227,729.326,912.427,214.627,179.128,016.228,420.729,012.529,535.629,669.529,801.730,596.430,917.831,255.631,890.232,225.632,695.833,377.034,138.334,837.6
90   Nonfinancial assets (5)16,022.314,781.913,797.513,880.813,683.414,434.514,609.014,978.815,423.615,441.915,512.916,073.216,221.616,352.216,784.516,950.517,185.617,619.918,139.218,511.7
91      Real estate8,844.87,654.46,709.46,776.56,556.27,263.67,341.67,578.27,892.17,806.97,824.48,318.58,356.68,442.68,773.38,884.99,058.79,455.89,903.110,202.1
92      Equipment3,898.33,884.33,863.03,826.93,798.43,815.33,849.53,887.73,913.93,950.73,984.34,023.74,062.54,084.74,115.24,146.94,169.74,191.04,218.64,245.8
93      Intellectual property products1,536.71,534.81,545.31,572.11,584.11,605.21,614.61,639.31,662.91,690.21,707.81,719.81,750.91,783.91,806.11,819.11,842.11,858.21,880.11,901.9
94      Inventories1,742.51,708.31,679.81,705.31,744.71,750.31,803.31,873.61,954.71,994.11,996.52,011.22,051.62,041.02,089.82,099.62,115.12,114.92,137.42,162.0
95   Financial assets12,835.912,947.413,115.013,333.813,495.713,581.713,811.614,033.714,112.114,227.614,288.814,523.214,696.114,903.415,105.715,275.115,510.115,757.115,999.116,325.9
96      Currency and deposits437.6435.0583.3675.3713.6736.2775.9824.0846.8855.5855.0861.1869.2854.7893.1914.0954.3960.31,043.81,111.9
97         Currency and transferable deposits87.999.5124.6155.0184.9202.3214.5234.6248.2247.3247.3264.3260.9251.8273.8279.4298.8275.6319.5374.0
98         Time and savings deposits323.9309.2432.4488.8490.5495.2525.5548.7550.6566.6569.6561.9576.1574.2586.2598.8607.9623.0659.3657.3
99         Foreign deposits25.726.226.331.538.138.735.840.648.041.638.234.832.228.733.135.847.661.764.980.6
100      Debt securities123.0133.8128.2140.4141.0148.5160.2155.9141.3141.8137.5147.4123.7128.8138.5136.5109.8110.7103.090.7
101         Open market paper49.955.949.756.057.163.670.768.070.469.662.067.958.457.760.359.856.250.242.030.3
102         Treasury securities41.141.940.843.042.445.046.948.037.936.039.743.031.340.744.039.533.138.238.540.3
103         Agency- and GSE-backed securities (1)9.714.013.614.317.518.319.016.012.615.313.214.310.411.112.213.26.07.77.88.4
104         Municipal securities22.322.024.127.124.021.623.723.920.420.922.622.323.719.422.124.014.514.514.711.6
105      Loans92.692.091.490.694.995.698.385.685.285.985.687.487.788.085.985.578.177.481.478.1
106         Short term59.960.460.861.065.766.869.957.657.458.258.060.060.461.059.158.951.751.255.452.4
107            Security repurchases7.57.99.07.99.09.211.512.112.612.811.912.613.913.911.29.79.38.712.58.8
108            Consumer credit52.552.551.853.256.757.658.445.544.745.346.147.446.547.147.949.242.442.642.843.5
109         Long term (mortgages)32.631.630.629.529.228.828.428.027.827.727.627.427.227.026.826.626.426.226.025.8
110      Equity and investment fund shares4,043.14,153.84,226.54,134.34,074.34,065.74,202.94,148.84,248.24,403.54,424.54,493.54,597.24,633.04,799.44,869.34,921.94,985.95,124.95,241.1
111         Money market fund shares733.1717.1674.8655.5569.2518.3508.9497.8482.4469.1451.0462.4465.5452.5459.0480.6476.0473.1504.0521.1
112         Mutual fund shares108.6129.4151.9162.0169.0158.7173.6186.8190.0186.0161.7165.9178.0171.9178.1180.1189.3191.0199.8211.4
113         U.S. direct investment abroad3,124.03,234.53,328.53,245.13,239.73,293.73,425.73,402.93,502.33,675.73,740.33,795.63,883.83,941.54,095.54,136.44,170.24,234.44,333.44,421.6
114         Equity in government-sponsored
             enterprises (1)
0.50.50.40.50.50.40.50.60.70.60.50.50.70.60.60.60.60.60.60.6
115         Investment in finance company
             subsidiaries
76.972.370.971.295.994.694.260.772.972.271.069.169.266.566.271.785.786.987.186.4
116      Insurance, pension and standardized
          guarantee schemes (2)
309.8309.1309.0307.1309.0314.1318.1319.0317.8322.2324.2329.0327.6329.6331.1336.5334.9336.8337.1336.4
117      Other accounts receivable7,830.07,823.67,776.67,986.18,162.98,221.68,256.28,500.38,472.78,418.78,462.08,604.78,690.78,869.28,857.88,933.29,111.29,286.19,309.09,467.6
118         Trade receivables2,092.82,112.82,105.72,054.52,136.32,202.62,207.32,156.52,220.52,295.22,305.62,240.32,315.72,367.32,394.12,324.02,435.92,520.02,544.22,460.5
119         Other (miscellaneous assets)5,737.25,710.85,670.95,931.66,026.76,019.06,048.96,343.86,252.26,123.56,156.36,364.46,375.06,501.96,463.76,609.26,675.36,766.06,764.87,007.1
120Total liabilities and net worth28,858.227,729.326,912.427,214.627,179.128,016.228,420.729,012.529,535.629,669.529,801.730,596.430,917.831,255.631,890.232,225.632,695.833,377.034,138.334,837.6
121   Liabilities21,984.023,286.824,785.225,416.825,890.724,523.726,070.027,599.428,733.928,821.226,704.228,380.629,982.329,735.331,010.431,040.332,940.433,463.234,921.836,733.6
122      Debt securities4,637.54,733.54,801.84,876.85,015.25,095.25,246.45,373.15,510.75,634.65,738.45,825.85,969.26,090.36,239.86,434.66,590.56,745.06,956.67,098.5
123         Open market paper106.986.272.958.473.682.097.982.9110.5106.9124.7116.3127.6132.1136.0130.3140.1147.2171.2144.5
124         Municipal securities422.4433.1441.1452.2460.7471.0473.8485.4487.8493.4492.2493.9495.2505.3504.1509.1510.4515.0516.4518.5
125         Corporate bonds4,108.24,214.24,287.84,366.24,480.84,542.24,674.74,804.84,912.45,034.35,121.45,215.65,346.45,452.95,599.75,795.25,940.06,082.76,269.06,435.5
126      Loans2,918.22,812.92,663.92,455.72,345.42,236.82,186.42,081.92,059.82,076.92,090.82,132.12,106.32,126.62,172.02,227.72,218.32,279.12,285.42,308.6
127         Short term2,029.81,945.61,835.01,685.21,600.41,535.91,517.11,425.71,425.11,469.51,503.71,554.71,531.41,551.11,600.61,645.01,641.31,697.31,693.11,701.4
128            Depository institution loans n.e.c.720.4661.5583.3546.0494.1461.3453.0477.4480.6489.0513.5546.3538.6563.3572.5608.1604.2621.0627.0654.2
129            Other loans and advances1,309.41,284.11,251.71,139.11,106.31,074.61,064.1948.3944.4980.5990.21,008.5992.9987.71,028.11,036.91,037.11,076.31,066.11,047.2
130         Long term (mortgages)888.4867.3828.9770.6745.0700.9669.3656.2634.7607.4587.1577.4574.9575.6571.4582.7577.0581.8592.4607.2
131      Equity and investment fund shares10,940.912,311.213,900.514,498.614,961.313,548.215,018.616,500.317,542.217,565.315,362.616,814.318,245.917,815.718,847.918,606.820,341.020,685.821,899.223,556.8
132         Corporate equity8,953.810,313.711,858.112,512.212,921.411,478.312,876.014,371.615,374.215,322.813,038.014,501.015,890.015,402.516,387.216,132.417,855.218,178.319,367.620,952.4
133         Foreign direct investment in the United
             States
1,987.11,997.52,042.41,986.42,039.92,069.92,142.62,128.72,168.02,242.52,324.62,313.32,355.92,413.22,460.72,474.42,485.82,507.42,531.62,604.4
134      Insurance, pension and standardized
          guarantee schemes
890.3766.0625.0573.2544.0730.1645.8537.6497.8523.1641.1580.7498.1544.1481.9533.3443.1429.1358.9279.9
135         Pension fund contributions payable81.979.877.775.679.583.387.291.191.892.593.394.093.694.093.893.293.493.593.292.2
136         Claim of pension fund on sponsor808.4686.2547.3497.6464.5646.8558.6446.5406.0430.5547.8486.6404.6450.2388.1440.2349.7335.6265.7187.7
137      Other accounts payable2,597.02,663.22,794.03,012.53,024.92,913.42,972.73,106.53,123.43,021.32,871.33,027.73,162.73,158.63,268.93,237.83,347.53,324.33,421.73,489.9
138         Trade payables1,587.11,566.71,556.61,590.21,628.41,669.91,697.71,746.51,729.31,747.71,748.61,771.71,780.21,813.11,838.91,854.91,882.01,919.91,950.41,973.0
139         Taxes payable40.234.641.735.749.543.947.142.960.750.659.551.762.060.361.254.060.948.150.043.9
140         Miscellaneous liabilities969.71,061.91,195.71,386.61,347.01,199.61,228.01,317.21,333.41,223.01,063.21,204.31,320.51,285.31,368.91,328.91,404.61,356.31,421.41,473.0
141   Net worth6,874.24,442.42,127.21,797.81,288.43,492.52,350.71,413.0801.8848.33,097.52,215.8935.51,520.3879.81,185.3-244.6-86.2-783.5-1,896.0
       Footnotes


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