Integrated Macroeconomic Accounts for the United States Table

S.6.q Financial Business
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 5/30/2016   Last Revised on March 22, 2016  
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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 added889.81,030.61,080.81,060.31,010.21,005.61,052.81,102.51,056.61,016.01,014.21,096.41,156.41,176.81,208.61,207.31,131.91,158.41,178.61,224.4
2Less: Consumption of fixed capital176.4176.9176.9179.3179.4177.8175.9173.5170.3168.4167.7168.1170.8173.6175.5177.0178.9181.2183.9186.9
3Equals: Net value added713.3853.7903.9881.0830.8827.8876.9929.0886.3847.6846.5928.3985.61,003.21,033.11,030.3953.0977.2994.71,037.5
4   Compensation of employees (paid)520.0558.9555.9561.1549.4581.3577.3589.2615.3600.3616.0595.7595.2629.1625.3671.2614.5643.8646.6655.9
5   Taxes on production and imports less subsidies60.863.365.467.165.165.465.063.658.658.357.758.660.159.860.360.660.459.659.860.0
6   Operating surplus, net132.5231.5282.6252.7216.3181.1234.6276.3212.4189.1172.8274.0330.4314.4347.5298.5278.0273.8288.3321.6
7Net national income/Balance of primary incomes,
    net
111.6242.4396.5409.6398.3336.4376.4396.2285.6301.6300.3392.5407.4338.7339.474.6250.19.0211.2170.1
8   Operating surplus, net132.5231.5282.6252.7216.3181.1234.6276.3212.4189.1172.8274.0330.4314.4347.5298.5278.0273.8288.3321.6
9   Property income received, net-20.810.9114.0156.9182.0155.3141.8119.973.1112.5127.5118.577.124.4-8.1-223.9-27.9-264.8-77.1-151.5
10Net national income/Balance of primary incomes,
    net
111.6242.4396.5409.6398.3336.4376.4396.2285.6301.6300.3392.5407.4338.7339.474.6250.19.0211.2170.1
11Less: Current taxes on income, wealth, etc. (paid)47.378.7115.0125.4136.0131.5158.1174.4177.7157.6115.4150.5176.9189.0191.2166.7165.5176.9194.5200.2
12Less: Other current transfers (paid)36.130.919.819.221.018.119.315.233.021.219.26.6-13.1-22.0-28.9-39.0-28.0-21.9-16.9-4.8
13Equals: Disposable income, net28.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4243.6171.7177.1-53.1112.6-146.033.6-25.3
14Equals: Net saving28.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4243.6171.7177.1-53.1112.6-146.033.6-25.3
                                              
                                                 Capital account
15Net saving less capital transfers251.1270.1310.3343.8304.4264.1213.8217.587.3157.1193.4290.6262.5171.8177.1-110.4112.6-146.033.6-25.3
16   Net saving28.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4243.6171.7177.1-53.1112.6-146.033.6-25.3
17   Less: Capital transfers paid (net)-222.9-137.3-48.6-78.9-63.0-77.2-14.9-10.8-12.5-34.3-27.7-55.1-18.9-0.10.057.30.00.00.00.0
18Capital formation, net-11.0-10.1-11.0-10.1-16.5-16.1-12.1-10.9-8.8-6.22.67.716.917.116.321.225.023.521.423.7
19   Gross fixed capital formation (nonresidential)165.4166.8165.9169.3162.9161.7163.9162.6161.5162.3170.3175.8187.7190.7191.7198.2203.9204.7205.3210.6
20   Less: Consumption of fixed capital176.4176.9176.9179.3179.4177.8175.9173.5170.3168.4167.7168.1170.8173.6175.5177.0178.9181.2183.9186.9
21Net lending (+) or borrowing (-), capital
    account (lines 15-18)
262.2280.2321.3353.9320.9280.2225.9228.496.0163.3190.8282.9245.6154.7160.9-131.687.6-169.512.2-49.0
                                         Financial
                                           account
22Net lending (+) or borrowing (-) (line 21)262.2280.2321.3353.9320.9280.2225.9228.496.0163.3190.8282.9245.6154.7160.9-131.687.6-169.512.2-49.0
23Net acquisition of financial assets-1,963.0-2,070.1-192.1-693.1227.5-1,189.51,432.2-74.64,663.12,968.1577.0594.11,458.8661.41,973.13,224.24,580.32,948.44,131.42,440.6
24   Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
25   Currency and deposits-87.4-323.9684.7503.023.4-594.0-143.499.61,902.6858.2-325.2-356.8-262.4-261.7-114.0449.01,249.3887.51,192.4-58.5
26   Debt securities371.81,523.4709.7287.01,008.6286.41,439.9415.91,844.1702.21,612.8917.71,515.7516.11,140.01,207.62,211.3808.61,003.32,100.5
27      Open market paper-608.0-631.8-202.4-120.2-318.5-121.6134.9-68.8101.1-41.6-253.8-105.7-33.0-1.7-41.676.392.6-23.672.2-58.3
28      Treasury securities48.51,119.1449.090.3750.8163.4428.2948.41,571.9444.51,512.0678.4738.8142.7271.3258.4820.741.6166.01,329.3
29      Agency- and GSE-backed securities (1)1,046.0928.6213.0528.5312.9108.5-10.8-204.3-43.261.0289.7148.2207.7109.3113.7178.7584.0405.9194.5421.9
30      Municipal securities24.584.660.5-16.010.522.688.155.8-46.0-5.015.889.4140.1104.4177.0135.996.115.3-53.3-20.9
31      Corporate and foreign bonds-139.123.0189.7-195.6252.8113.5799.6-315.1260.3243.449.1107.4462.0161.4619.6558.3618.0369.5623.9428.5
32   Loans-2,548.9-4,168.6-2,403.1-2,594.0-493.3-339.4-741.9-396.8238.9-19.9178.3118.3-4.6451.9615.5670.9-306.294.1479.0268.4
33      Short term-2,677.0-4,131.8-2,189.7-2,505.5-15.5-98.0-462.6-231.2428.9177.0382.2226.8120.4542.4705.5629.6-257.5-26.7329.7155.7
34      Long term (mortgages)128.1-36.8-213.4-88.5-477.8-241.4-279.3-165.6-190.0-196.9-203.9-108.6-125.0-90.6-90.041.3-48.7120.8149.3112.7
35   Equity and investment fund shares-113.8-133.7175.2617.9-511.6-80.7380.542.711.672.7-279.5119.935.2-192.8274.3347.582.0-156.7245.4639.8
36      Corporate equities-328.5193.0219.2537.67.6155.1-114.7184.2-192.8-81.3-23.1-42.017.635.1-2.1-27.0-151.5-81.5-41.4258.3
37      Mutual fund shares195.5151.4209.0147.8138.4138.3128.9126.960.452.8-34.7-6.113.1-21.3135.3130.9174.3141.4129.9124.7
38      Money market mutual fund shares-7.7-301.8-230.8-163.4-518.4-253.522.558.1-107.6-64.4-253.4170.1-399.9-123.26.3187.3-197.4-29.899.4-86.2
39      Equity in government-sponsored enterprises
          (1)
9.16.9-3.4-12.5-3.2-2.1-1.1-6.6-1.8-17.9-3.2-1.8-3.3-2.5-1.9-0.2-3.70.2-1.64.4
40      U.S. direct investment abroad31.327.979.224.25.626.940.9-82.415.737.412.5-5.036.614.512.418.444.79.472.2-31.7
41      Stock in Federal Reserve Banks5.96.82.72.92.51.50.3-0.6-0.90.8-1.93.61.30.50.10.00.8-0.3-0.20.3
42      Investment in subsidiaries-19.3-217.9-100.681.3-144.0-146.9303.7-236.7238.7145.324.51.0370.0-95.8124.238.1214.8-196.1-12.9370.1
43   Insurance, pension and standardized guarantee
       schemes
465.2768.0478.6268.4209.0155.8445.2294.8345.41,186.5-536.4361.8327.1301.3382.6408.6194.8746.2981.2-538.4
44   Other accounts receivable-50.0264.8162.8224.5-8.4-617.651.8-530.9320.6168.5-73.1-566.7-152.3-153.5-325.4140.71,149.2568.6230.128.7
45Net incurrence of liabilities-1,409.5-2,988.4-172.4-371.5-124.0-1,112.71,102.1509.64,675.02,923.2161.3749.01,385.5653.21,877.23,074.14,255.02,818.13,420.02,916.5
46   Currency and deposits-640.5-521.31,148.9929.3381.2-309.6147.11,079.03,063.12,029.7393.6309.1573.3510.7162.21,132.12,390.22,351.51,589.91,105.4
47   Debt securities-1,002.5-1,241.3-889.2-760.0-719.0-798.8-442.6-758.8-114.8-705.5-362.0-235.8-408.2-407.6-307.7-141.7-125.3-144.423.0526.8
48      Agency- and GSE-backed securities (1)96.5-186.2-123.1-27.4310.5-90.4-285.4-92.9225.6-299.85.9-20.2-155.521.5-12.050.8161.5266.3188.9336.6
49      Corporate bonds-477.5-534.0-341.1-507.8-770.8-536.5-280.6-564.3-366.4-332.0-287.5-71.1-186.1-377.5-238.1-133.3-246.7-374.2-65.5208.9
50      Commercial paper-621.4-521.1-425.0-224.8-258.7-172.0123.5-101.725.9-73.7-80.3-144.5-66.6-51.6-57.7-59.2-40.1-36.5-100.4-18.6
51   Loans-1,806.9-1,773.6-1,114.6-1,882.2359.1-303.3-293.2-1.1279.1293.3544.1-307.7124.988.4186.6113.5-536.9-123.7-271.399.1
52      Short term-1,830.6-1,794.9-1,115.0-1,883.8365.1-299.4-308.00.5256.9271.0540.2-313.1120.289.4176.2108.3-557.5-128.3-257.078.9
53      Long term (mortgages)23.721.30.41.7-6.0-3.914.9-1.722.222.33.95.44.7-1.010.55.220.64.6-14.320.2
54   Equity and investment fund shares577.0128.4-180.6550.3-627.7-166.1953.9127.41,280.3567.5-316.1482.8751.0541.31,265.11,287.31,314.8613.1973.61,006.7
55      Money market mutual fund shares129.8-508.4-952.0-664.2-1,093.3-570.6-135.7-213.3-73.6-52.4-331.96.6-191.7-147.345.3321.9-140.883.6255.1-82.2
56      Corporate equity issues544.0218.1137.9356.539.8343.6207.2167.394.4200.5279.272.328.3126.0257.8209.7220.962.4171.4178.6
57      Mutual fund shares-86.6689.8736.7648.3457.637.9592.2392.7882.0496.7-266.0240.9631.0564.7774.3529.81,016.4483.3661.7391.2
58      Equity in government-sponsored enterprises
          (1)
6.87.2-2.8-11.3-3.1-1.90.4-6.4-1.6-17.7-2.9-1.6-2.6-3.2-1.50.0-3.61.1-0.65.0
59      Foreign direct investment in the United
          States
-15.063.253.780.732.023.663.375.050.453.633.436.1-37.324.421.811.445.127.721.330.2
60      Equity in noncorporate business23.3-21.9-8.69.5-0.15.9-3.20.9-13.3-1.54.4-1.129.04.9-4.7-2.2-5.10.8-16.5-1.6
61      Investment by parent-31.3-326.3-148.2127.8-63.1-6.1229.4-288.3343.0-112.5-30.3126.0293.0-28.7172.0216.8181.0-45.5-118.6485.3
62      Stock in Federal Reserve Banks5.96.82.72.92.51.50.3-0.6-0.90.8-1.93.61.30.50.10.00.8-0.3-0.20.3
63   Insurance, pension and standardized guarantee
       schemes
666.1673.7724.5663.5684.1678.3835.9661.4659.4733.6660.3708.7528.8345.6684.5732.8415.6583.2637.6619.6
64   Other accounts payable797.3-254.4138.5127.6-201.7-213.2-99.1-598.2-492.04.6-758.7-208.1-184.3-425.3-113.4-50.0796.6-461.6467.1-441.1
  Addendum:
65Net lending (+) or borrowing (-), financial
    account (lines 23-45)
-553.5918.3-19.7-321.6351.5-76.8330.1-584.2-11.944.9415.7-154.973.38.295.9150.1325.3130.4711.5-475.9
                       Other changes in volume
                         account
66Total other volume changes212.6-265.5-559.9-415.1-70.7281.2-364.4-648.0-228.6-17.9599.8-426.3-172.8117.5-381.556.8-290.4-20.0-107.4-532.7
67   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-2.00.00.00.00.0
68   Other volume changes426.5-404.9-479.8-271.0-78.5382.4-374.4-472.6-207.79.4579.8-344.6-139.8145.4-322.3-35.8-358.8-106.0-245.7-442.5
69   Less: Statistical discrepancy ((lines
       22-65)/4) (2)
213.8-139.580.1144.0-7.8101.2-10.0175.420.927.3-20.081.733.027.859.2-94.5-68.4-86.0-138.390.2
                                           
                                              Revaluation account
70   Nonfinancial assets-5.5-27.7-26.0-2.7-8.4-0.81.05.54.814.211.012.210.88.61.1-2.17.212.06.78.6
71      Structures (nonresidential)-6.0-25.2-21.82.8-1.7-0.10.21.32.711.19.210.29.18.30.7-2.95.910.35.88.3
72      Equipment1.6-0.8-2.0-4.4-5.00.21.74.31.72.81.72.11.3-0.20.61.20.20.90.90.5
73      Intellectual property products-1.1-1.8-2.1-1.1-1.7-0.9-0.9-0.10.30.30.2-0.20.30.5-0.2-0.51.10.80.0-0.2
74   Financial assets-979.31,412.31,559.7576.7520.9-1,420.61,278.01,277.2723.3-89.9-2,316.81,009.81,549.0-673.9783.1122.71,224.5158.41,024.91,355.9
75      Corporate equities-864.41,214.21,344.8453.8460.4-1,225.01,097.61,078.3628.4-77.2-1,991.6922.81,340.8-576.7683.471.41,075.9135.2879.01,192.1
76      Mutual fund shares-115.0198.0214.968.860.6-195.6180.3158.394.9-12.7-325.2132.5208.2-97.299.729.0148.623.2145.9177.8
77      U.S. direct investment abroad0.00.00.054.20.00.00.040.70.00.00.0-45.50.00.00.022.40.00.00.0-14.0
78   Liabilities-1,224.61,412.01,658.6272.9701.0-1,372.61,070.21,203.3677.5-159.1-2,440.1997.91,672.9-701.5705.0236.31,280.1338.8889.51,293.9
79      Corporate equity issues-660.3477.2642.0-70.1387.1-447.4234.7393.7208.3-93.7-888.5324.8661.9-240.3200.8116.8500.1225.1176.5453.9
80      Mutual fund shares-332.8561.2611.6195.6177.8-561.3513.0452.6270.5-36.7-961.7387.5617.0-297.4310.690.0465.975.8468.2561.1
81      Foreign direct investment in the United
          States
0.00.00.017.90.00.00.034.10.00.00.028.90.00.00.015.90.00.00.0-50.6
82      Equity in noncorporate business-3.54.72.4-0.10.6-1.71.20.21.9-0.3-3.00.1-2.5-1.31.70.82.0-0.22.50.0
83      Pension fund reserves-228.0368.9402.5130.2136.5-361.6321.6322.9196.8-28.3-586.8256.6396.5-162.5191.912.8312.138.1242.3329.6
84      Investment by parent0.00.00.0-0.6-0.9-0.6-0.3-0.20.0-0.1-0.10.00.0-0.10.00.00.00.00.00.0
85Changes in net worth due to nominal holding
    gains/losses
239.8-27.5-124.8301.1-188.5-48.8208.879.450.683.4134.424.1-113.136.279.2-115.6-48.4-168.4142.070.5
                    Changes in balance sheet account
86Change in net worth ((lines 18+21)/4 + lines
    66+85) (3)
515.3-225.4-607.2-28.0-183.1298.4-102.2-514.2-156.1104.8782.6-329.5-220.3196.7-258.0-86.4-310.6-224.943.1-468.5
                       Balance sheet account (end
                         of period)
87Total assets68,475.568,875.969,931.970,099.369,928.968,664.570,113.971,223.672,711.873,338.171,846.072,847.674,996.374,598.475,928.376,984.678,773.779,564.881,289.182,843.9
88   Nonfinancial assets (4)1,643.31,615.31,589.01,586.31,576.81,574.91,575.41,580.21,582.41,595.11,606.91,621.21,636.31,649.21,654.31,655.51,668.91,686.71,698.81,713.2
89      Structures (nonresidential)1,012.0988.6967.9971.3967.9966.1964.5963.9963.6971.8978.4986.3993.4999.6998.2992.0995.51,003.51,007.01,013.0
90      Equipment494.2487.6480.0470.3464.6464.6466.9471.9473.9477.2480.8485.5491.3495.6500.5506.0513.3521.1528.3535.7
91      Intellectual property products137.1139.2141.1144.7144.3144.1143.9144.3145.0146.1147.7149.4151.6154.0155.6157.4160.1162.2163.5164.5
92   Financial assets66,832.267,260.668,343.068,513.068,352.167,089.668,538.569,643.471,129.371,743.170,239.171,226.473,360.072,949.274,274.075,329.277,104.977,878.079,590.381,130.7
93      Monetary gold11.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.0
94      Currency and deposits2,125.92,046.42,223.72,362.52,346.82,198.32,170.32,254.62,709.42,925.72,847.92,774.42,695.72,630.52,617.42,751.43,035.13,257.03,562.33,567.7
95      Debt securities17,610.117,944.718,067.218,315.418,017.818,012.818,343.118,528.418,945.319,028.119,422.519,797.420,229.220,282.220,560.420,984.521,484.321,618.021,819.422,428.4
96         Open market paper1,095.8952.6853.7852.9778.9733.3745.6763.7822.2779.0716.4688.8717.6703.3692.4688.6736.0730.7743.5709.1
97         Treasury securities3,180.53,412.23,528.03,651.93,782.93,772.33,878.44,224.64,561.74,618.24,990.15,276.35,417.15,394.85,457.05,641.15,796.35,742.25,777.76,230.5
98         Agency- and GSE-backed securities (1)5,420.65,653.65,699.55,892.05,498.95,523.15,516.25,480.85,457.05,472.95,543.75,594.75,646.55,676.25,704.55,761.25,888.85,993.26,041.66,154.3
99         Municipal securities1,705.51,719.01,731.31,742.31,737.91,737.21,756.41,786.51,766.51,759.41,761.51,800.01,826.31,845.81,889.81,939.41,954.51,951.01,938.81,948.7
100      Corporate and foreign bonds6,207.76,207.36,254.86,176.46,219.26,247.06,446.66,272.96,337.96,398.66,410.86,437.66,621.86,662.16,816.66,954.17,108.67,201.07,317.97,385.9
101      Loans25,065.623,959.923,364.422,587.422,381.222,245.122,068.121,852.921,760.321,733.321,779.521,830.121,776.221,881.022,080.222,291.222,047.422,093.522,200.722,306.9
102         Short term10,828.49,792.69,311.38,631.18,586.98,566.88,504.58,503.78,498.78,567.58,695.28,807.48,827.09,001.59,248.69,479.99,287.09,333.69,408.29,503.3
103         Long term (mortgages)14,237.214,167.314,053.113,956.313,794.313,678.413,563.513,349.213,261.513,165.813,084.313,022.712,949.212,879.512,831.612,811.312,760.412,759.912,792.612,803.6
104      Equity and investment fund shares13,842.215,233.216,819.917,532.717,948.116,520.817,877.319,146.019,895.019,836.617,433.718,453.720,340.219,630.720,571.320,777.322,046.122,166.323,231.924,692.7
105         Corporate equities6,701.07,975.59,358.79,929.610,412.69,239.010,291.911,398.912,000.011,914.59,901.410,796.512,162.911,606.012,273.812,321.413,380.513,505.714,360.115,599.6
106         Mutual fund shares1,793.12,029.02,296.22,402.02,497.12,336.12,548.72,738.72,848.72,849.22,515.32,646.32,857.72,755.22,888.72,950.43,142.63,201.13,379.53,588.5
107         Money market fund shares1,175.71,100.31,042.61,001.7872.1808.7814.4828.9802.0785.9722.5765.1665.1634.3635.9682.7633.4625.9650.8629.2
108         Equity in government-sponsored
             enterprises (1)
47.249.048.145.044.243.743.441.741.336.836.035.534.734.133.633.532.632.732.333.4
109         U.S. direct investment abroad746.7753.8773.2832.3835.2842.7852.4870.7876.5887.1889.7840.3851.8857.0859.5883.2896.9901.0918.4892.8
110         Stock in Federal Reserve Banks22.624.224.925.626.326.626.726.526.326.526.026.927.227.327.427.427.627.527.427.5
111         Investment in subsidiaries3,355.93,301.43,276.33,296.63,260.63,223.93,299.83,240.63,300.33,336.63,342.83,343.03,740.73,716.83,852.33,878.83,932.53,872.43,863.33,921.7
112      Insurance, pension and standardized
          guarantee schemes
4,616.54,495.94,259.34,146.04,211.44,720.64,675.54,508.34,463.54,793.85,160.44,922.04,690.54,899.94,829.84,896.74,655.34,779.34,824.64,311.1
113      Other accounts receivable3,560.93,569.43,597.43,558.03,435.83,381.03,393.23,342.23,344.93,414.53,584.03,437.83,617.23,613.93,603.93,617.13,825.63,952.93,940.43,812.7
114Total liabilities and net worth68,475.568,875.969,931.970,099.369,928.968,664.570,113.971,223.672,711.873,338.171,846.072,847.674,996.374,598.475,928.376,984.678,773.779,564.881,289.182,843.9
115   Liabilities66,558.467,184.268,847.469,042.869,055.567,492.769,044.370,668.272,312.572,834.070,559.371,890.474,259.573,664.975,252.876,395.678,495.379,511.281,192.583,215.8
116      Currency and deposits11,312.511,165.411,449.511,748.711,773.611,670.711,725.212,069.012,750.513,217.213,342.113,517.813,535.913,618.213,694.614,084.614,575.515,121.015,555.215,943.9
117      Debt securities15,466.115,127.114,864.314,594.513,884.013,657.913,520.113,544.813,503.713,299.513,191.613,117.613,069.812,934.812,970.012,923.912,886.412,821.912,818.712,926.8
118         Agency- and GSE-backed securities (1)8,160.38,118.88,098.18,083.37,691.67,672.97,607.17,581.37,631.67,560.67,567.27,559.27,515.47,523.77,525.97,535.47,571.57,640.17,692.77,773.7
119         Corporate bonds6,332.86,164.36,065.55,833.05,572.35,417.05,338.25,387.45,279.55,181.45,097.15,050.55,050.14,938.54,989.64,939.44,861.14,755.94,726.24,752.9
120         Commercial paper973.0844.0700.7678.2620.2567.9574.8576.0592.6557.6527.3507.9504.3472.6454.6449.1453.8426.0399.9400.2
121      Loans5,954.45,529.95,255.04,768.44,850.94,795.34,722.34,720.74,780.24,869.85,003.54,917.54,936.54,979.45,084.55,108.64,959.94,949.14,881.14,900.4
122         Short term5,785.05,355.25,080.24,593.24,677.14,622.54,545.84,544.64,598.54,682.64,815.34,728.04,745.84,789.04,891.54,914.24,760.44,748.44,683.94,698.2
123         Long term (mortgages)169.4174.7174.8175.3173.8172.8176.5176.1181.6187.2188.2189.5190.7190.5193.1194.4199.5200.7197.1202.2
124      Equity and investment fund shares14,917.415,983.917,186.517,505.617,892.016,829.017,809.618,723.019,504.419,501.117,565.818,464.520,326.519,904.220,839.121,436.222,715.023,137.224,027.125,242.5
125         Money market fund shares3,739.03,584.63,363.03,258.62,930.52,760.42,746.12,755.42,679.42,637.82,577.92,642.52,535.52,467.92,506.92,649.62,553.82,541.92,637.32,678.5
126         Corporate equity issues2,355.32,887.13,563.63,582.63,979.73,618.23,904.74,340.24,572.14,528.63,709.94,052.74,721.74,513.04,778.24,947.45,502.75,743.55,962.86,461.4
127         Mutual fund shares5,062.55,814.76,585.86,920.77,246.46,711.57,346.57,873.08,402.18,503.77,449.57,870.98,797.48,653.49,131.09,326.110,088.710,297.510,904.511,535.2
128         Equity in government-sponsored
             enterprises (1)
53.555.354.651.851.050.550.649.048.644.243.543.142.441.641.341.240.440.640.541.7
129         Foreign direct investment in the United
             States
339.7355.5368.9407.0415.0420.9436.7489.6502.2515.6524.0561.9552.6558.7564.1582.8594.1601.0606.4563.3
130         Equity in noncorporate business13.012.212.514.815.415.115.515.914.513.912.011.916.616.517.017.318.018.016.315.9
131         Investment by parent3,331.83,250.33,213.23,244.53,227.93,225.73,282.83,173.43,259.13,230.83,223.13,254.63,633.13,625.83,773.33,844.43,889.73,867.33,831.83,919.0
132         Stock in Federal Reserve Banks22.624.224.925.626.326.626.726.526.326.526.026.927.227.327.427.427.627.527.427.5
133      Insurance, pension and standardized
          guarantee schemes
16,617.317,186.717,807.018,109.618,556.218,458.219,142.219,786.620,177.920,340.919,881.820,340.920,906.720,824.021,207.021,407.521,841.722,026.722,442.522,946.2
134      Other accounts payable2,290.72,191.22,285.12,315.92,098.82,081.62,124.91,824.11,595.81,605.41,574.51,532.01,484.11,404.31,457.51,434.81,516.81,455.31,467.81,256.1
135   Net worth1,917.11,691.71,084.51,056.5873.41,171.81,069.6555.4399.3504.11,286.7957.1736.8933.5675.5589.0278.453.696.6-371.9
       Footnotes


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