Integrated Macroeconomic Accounts for the United States Table

S.6.q Financial Business
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 10/25/2014   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 added889.81,030.61,080.81,060.31,010.21,005.61,052.81,102.51,056.61,016.01,014.21,096.41,112.61,150.91,212.51,237.21,239.81,297.71,337.91,353.1
2Less: Consumption of fixed capital176.4176.9176.9179.3179.4177.8175.9173.5170.3168.4167.7168.1171.1173.6175.1176.7179.4181.5183.2184.8
3Equals: Net value added713.3853.7903.9881.0830.8827.8876.9929.0886.3847.6846.5928.3941.5977.31,037.31,060.51,060.41,116.21,154.61,168.2
4   Compensation of employees (paid)520.0558.9555.9561.1549.4581.3577.3589.2615.3600.3616.0595.7602.7629.7623.9668.3626.5645.3645.3651.9
5   Taxes on production and imports less subsidies60.863.365.467.165.165.465.063.658.658.357.758.660.560.561.562.362.662.263.063.5
6   Operating surplus, net132.5231.5282.6252.7216.3181.1234.6276.3212.4189.1172.8274.0278.3287.1352.0329.9371.3408.7446.3452.9
7Net national income/Balance of primary incomes,
    net
111.6242.4396.5409.6398.3336.4376.4396.2285.6301.6300.3392.5367.3359.8374.1134.9328.099.7320.1249.5
8   Operating surplus, net132.5231.5282.6252.7216.3181.1234.6276.3212.4189.1172.8274.0278.3287.1352.0329.9371.3408.7446.3452.9
9   Property income received, net-20.810.9114.0156.9182.0155.3141.8119.973.1112.5127.5118.589.072.722.1-195.0-43.3-309.0-126.3-203.3
10Net national income/Balance of primary incomes,
    net
111.6242.4396.5409.6398.3336.4376.4396.2285.6301.6300.3392.5367.3359.8374.1134.9328.099.7320.1249.5
11Less: Current taxes on income, wealth, etc. (paid)47.378.7115.0125.4136.0131.5158.1174.4177.7157.6115.4150.5183.0207.3171.4171.9144.6133.1148.3153.6
12Less: Other current transfers (paid)36.130.919.819.221.018.119.315.233.021.219.26.6-15.2-21.5-22.8-26.9-6.50.84.112.5
13Equals: Disposable income, net28.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4199.5174.0225.5-10.1189.9-34.2167.783.4
14Equals: Net saving28.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4199.5174.0225.5-10.1189.9-34.2167.783.4
                                              
                                                 Capital account
15Net saving less capital transfers251.1270.1310.3343.8304.4264.1213.8217.587.3157.1193.4290.6218.4174.1225.5-67.5189.9-34.2167.783.4
16   Net saving28.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4199.5174.0225.5-10.1189.9-34.2167.783.4
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-11.0-10.1-11.0-10.1-16.5-16.1-12.1-10.9-8.8-6.22.67.716.115.114.418.620.316.918.121.6
19   Gross fixed capital formation (nonresidential)165.4166.8165.9169.3162.9161.7163.9162.6161.5162.3170.3175.8187.2188.7189.6195.3199.7198.4201.3206.4
20   Less: Consumption of fixed capital176.4176.9176.9179.3179.4177.8175.9173.5170.3168.4167.7168.1171.1173.6175.1176.7179.4181.5183.2184.8
21Net lending (+) or borrowing (-), capital
    account (lines 15-18)
262.2280.2321.3353.9320.9280.2225.8228.496.0163.3190.8282.9202.3158.9211.1-86.0169.7-51.1149.661.8
                                         Financial
                                           account
22Net lending (+) or borrowing (-) (line 21)262.2280.2321.3353.9320.9280.2225.8228.496.0163.3190.8282.9202.3158.9211.1-86.0169.7-51.1149.661.8
23Net acquisition of financial assets-1,823.6-2,056.5-266.4-966.974.8-1,328.81,319.3-56.34,640.52,964.6315.2629.61,553.7719.11,891.23,135.64,450.63,031.74,237.42,463.6
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-46.9-290.3724.7525.120.6-568.1-125.698.91,905.7871.7-297.5-365.2-256.6-265.4-107.6452.81,245.2918.11,196.2-48.6
26   Debt securities459.01,514.1647.6299.61,077.0230.11,382.9443.51,894.8667.11,585.7952.21,552.8471.31,137.61,238.02,162.9759.7969.02,054.9
27      SDR certificates0.00.012.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
28      Open market paper-566.6-633.5-248.8-110.3-284.4-132.6103.0-59.3121.9-51.6-270.0-104.4-25.3-13.3-46.976.787.5-15.7101.3-35.6
29      Treasury securities45.91,054.1361.53.5718.676.9335.2885.31,537.6728.71,024.6617.8662.435.6147.8336.8719.4377.4273.0746.7
30      Agency- and GSE-backed securities (1)1,053.1924.3214.0531.0316.695.7-8.9-194.7-58.955.1405.1233.6307.9184.9175.4220.3621.3440.9221.4462.3
31      Municipal securities26.686.159.7-18.813.124.687.451.8-41.7-4.417.582.2146.4102.5180.8123.4102.09.5-44.6-37.2
32      Corporate and foreign bonds-137.427.2185.8-196.5250.9108.4796.2-313.0262.8246.3-25.840.3399.396.0596.8530.6460.3255.7481.4326.8
33      Nonmarketable government securities37.456.063.590.962.257.169.973.573.1-307.1434.482.662.165.683.7-49.8172.5-308.1-63.5592.0
34   Loans-2,570.7-4,156.3-2,397.9-2,652.6-558.9-361.9-756.2-353.4253.9-0.9206.4153.4-56.1487.1628.3708.5-391.2157.9524.9343.5
35      Short term-2,706.0-4,127.3-2,186.1-2,491.2-40.0-95.4-463.5-172.8422.7191.0380.5233.690.8579.5680.5639.8-279.227.9279.4190.2
36      Long term (mortgages)135.3-29.0-211.7-161.3-518.9-266.5-292.7-180.6-168.8-191.9-174.0-80.2-146.9-92.4-52.268.6-112.0130.0245.5153.3
37   Equity and investment fund shares-196.8-230.243.1484.7-601.8-171.9286.7-43.5-58.5-4.7-296.757.3114.3-326.7121.9236.7154.7-81.9412.4694.1
38      Corporate equities-317.4198.3209.8529.431.7175.2-84.5215.9-182.8-69.620.2-3.427.256.225.637.641.3138.1229.3403.3
39      Mutual fund shares100.347.885.923.924.227.93.28.9-15.1-32.5-112.8-68.1-87.4-143.1-27.3-34.649.6-3.839.81.4
40      Money market mutual fund shares-7.0-299.3-231.5-163.9-518.6-253.823.358.7-112.0-68.1-237.2131.9-225.4-151.5-9.5179.9-189.6-38.392.5-88.5
41      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
42      U.S. direct investment abroad31.727.280.223.65.626.442.0-83.115.537.213.8-5.932.09.710.616.041.518.265.53.1
43      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
44      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
45   Insurance, pension and standardized guarantee
       schemes
449.7743.4523.8304.8244.8209.3484.9319.5362.81,213.6-539.8328.1289.6309.8436.6404.4197.9631.9934.7-462.6
46   Other accounts receivable82.1362.8192.371.4-106.8-666.446.6-521.3281.7217.8-343.0-496.2-90.242.9-325.595.21,081.2646.0200.1-117.6
47Net incurrence of liabilities-1,334.8-3,047.1-318.2-531.3-139.5-1,196.61,012.7438.24,706.32,858.5205.0664.61,486.7536.11,849.32,958.54,222.52,830.83,480.73,000.4
48   Currency and deposits-602.6-454.31,155.5950.8379.7-249.0123.01,082.63,072.32,084.9339.2332.9580.0559.447.81,192.62,374.02,472.71,436.41,117.7
49   Debt securities-912.1-1,205.0-903.9-805.2-721.9-799.6-488.1-764.0-43.0-696.8-349.8-213.8-390.2-445.3-293.5-89.7-155.5-122.7119.8585.2
50      Agency- and GSE-backed securities (1)100.7-190.1-119.8-31.0284.4-104.8-295.3-71.8229.5-320.12.11.0-153.40.2-8.572.2164.0246.8194.6354.2
51      Corporate bonds-432.5-493.0-311.6-556.4-782.6-514.5-284.2-595.8-321.7-293.7-258.9-68.9-183.4-387.0-225.7-97.8-282.7-334.119.6260.2
52      Commercial paper-580.2-521.9-472.5-217.8-223.6-180.291.3-96.449.2-83.0-93.0-145.8-53.4-58.5-59.2-64.0-36.7-35.4-94.4-29.2
53   Loans-1,815.3-1,780.6-1,101.7-1,886.4357.6-308.7-270.0-17.4255.1291.1579.1-334.4120.086.1228.987.7-570.5-137.4-325.1162.2
54      Short term-1,839.0-1,801.9-1,102.2-1,888.0363.6-304.9-284.8-15.7232.9268.9575.1-339.8115.387.0218.582.5-591.1-142.0-310.8142.0
55      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
56   Equity and investment fund shares574.8133.5-179.5553.3-637.7-162.2956.8138.11,260.9568.9-303.9498.6738.1557.21,296.31,302.21,287.0598.91,011.11,030.7
57      Money market mutual fund shares131.6-506.1-952.7-667.5-1,091.0-567.7-136.5-217.7-69.6-50.7-330.4-0.6-185.5-147.750.1311.3-133.481.9270.1-104.0
58      Corporate equity issues546.4219.8140.1357.140.2346.3208.7170.494.4200.6284.776.737.1136.0275.0225.1235.947.4184.6186.0
59      Mutual fund shares-93.0690.8736.4654.0444.936.2594.5404.9858.5496.5-260.9259.5596.2567.5780.8555.2970.8492.2674.9417.2
60      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
61      Foreign direct investment in the United
          States
-15.063.253.780.732.023.663.375.050.453.633.436.1-30.827.723.5-2.340.921.116.836.0
62      Equity in noncorporate business23.3-21.9-8.69.5-0.15.9-3.20.9-13.3-1.54.4-1.129.35.1-3.7-3.8-5.40.9-15.84.8
63      Investment by parent-31.3-326.3-148.2127.8-63.1-6.1229.4-288.3343.0-112.5-30.3126.0293.0-28.7172.0216.8181.0-45.5-118.6485.5
64      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
65   Insurance, pension and standardized guarantee
       schemes
514.1524.3584.4542.0618.1597.2768.1601.4606.3679.6599.1672.5426.7285.1610.9629.3410.2498.5612.0670.2
66   Other accounts payable906.4-265.0127.1114.2-135.2-274.2-77.2-602.5-445.3-69.3-658.7-291.212.0-506.4-41.2-163.8877.3-479.2626.5-565.5
  Addendum:
67Net lending (+) or borrowing (-), financial
    account (lines 23-47)
-488.8990.751.8-435.6214.3-132.3306.6-494.6-65.8106.0110.2-35.067.0183.041.9177.1228.1200.8756.7-536.8
                       Other changes in volume
                         account
68Total other volume changes250.6-272.3-573.0-467.9-119.2296.0-386.8-654.3-211.72.1461.0-371.1-213.3154.1-408.837.8-304.8-40.0-127.6-531.3
69   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-2.00.00.00.00.0
70   Other volume changes443.1-427.8-509.1-294.0-98.0414.0-395.5-494.5-187.624.4507.2-309.3-203.1150.9-333.5-38.3-346.2-104.6-240.9-391.6
71   Less: Statistical discrepancy ((lines
       21-67)/4) (2)
192.5-155.564.0173.921.3117.9-8.7159.824.022.346.261.910.2-3.275.3-78.1-41.5-64.6-113.3139.7
                                           
                                              Revaluation account
72   Nonfinancial assets-6.9-27.0-25.4-4.6-9.6-2.3-0.53.93.511.98.99.95.64.7-0.42.04.19.83.46.2
73      Structures (nonresidential)-5.9-23.1-19.92.2-1.8-0.4-0.10.92.49.98.19.15.06.0-0.11.64.89.83.67.4
74      Equipment0.8-1.5-2.7-5.1-5.5-0.51.03.61.22.31.11.50.9-1.00.41.3-0.60.00.4-0.5
75      Intellectual property products-1.8-2.4-2.8-1.8-2.2-1.4-1.4-0.6-0.1-0.2-0.3-0.7-0.3-0.3-0.7-0.9-0.10.0-0.6-0.7
76   Financial assets-1,060.71,476.61,643.3670.5588.1-1,514.11,344.21,327.4678.8-129.3-2,117.5935.31,657.1-685.1836.8101.21,279.1181.91,038.81,316.9
77      Corporate equities-869.81,221.81,353.5456.9462.1-1,233.31,105.31,084.0586.9-95.4-1,863.3840.51,355.6-580.4689.673.21,042.9127.9876.51,123.8
78      Mutual fund shares-190.8254.8289.8159.5125.9-280.7238.9202.891.9-33.9-254.2140.3301.5-104.7147.2-6.5236.254.0162.3203.1
79      U.S. direct investment abroad0.00.00.054.20.00.00.040.70.00.00.0-45.50.00.00.034.50.00.00.0-10.0
80   Liabilities-1,283.01,452.51,711.5344.9713.6-1,437.61,111.21,227.8715.2-183.0-2,318.4957.11,689.4-695.7753.0197.51,357.7349.7909.51,294.9
81      Corporate equity issues-664.1477.2641.6-67.9353.0-449.5231.6390.9271.6-92.1-892.5324.2602.5-228.3210.4107.7511.0211.6190.3457.8
82      Mutual fund shares-332.8561.2611.6195.6177.8-561.3513.0452.6270.5-36.7-961.7387.5617.0-297.4310.690.0465.876.2468.0569.9
83      Foreign direct investment in the United
          States
0.00.00.017.90.00.00.034.10.00.00.028.90.00.00.012.50.00.00.0-48.2
84      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
85      Pension fund reserves-282.6409.4455.9200.1183.1-424.5365.7350.3171.2-53.7-461.1216.4472.4-168.6230.2-13.5378.862.1248.7315.4
86      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
87Changes in net worth due to nominal holding
    gains/losses
215.4-2.9-93.6321.0-135.1-78.7232.4103.4-32.965.6209.9-11.8-26.615.483.3-94.3-74.5-158.0132.728.3
                    Changes in balance sheet account
88Change in net worth ((lines 18+21)/4 + lines
    68+87) (3)
528.8-207.6-589.0-61.0-178.3283.3-100.9-496.5-222.8107.0719.3-310.3-185.4213.0-269.1-73.3-331.8-206.547.1-482.2
                       Balance sheet account (end
                         of period)
89Total assets68,181.968,629.569,739.469,914.169,738.068,386.869,863.870,997.172,454.173,059.271,626.672,589.474,805.074,398.275,738.376,743.178,561.579,362.781,100.182,657.4
90   Nonfinancial assets (4)1,532.41,506.11,481.31,477.81,468.11,465.71,465.71,469.81,471.81,483.21,494.01,507.01,517.81,527.41,531.61,537.21,547.41,562.51,571.51,584.2
91      Structures (nonresidential)907.5885.8866.7869.3865.7863.6861.6860.5859.8866.8872.3878.9881.7885.5883.2881.4884.1891.9893.6899.2
92      Equipment488.2481.5473.8464.2458.4458.4460.6465.4467.4470.7474.3479.1484.6488.0492.7498.3502.9508.0513.6519.0
93      Intellectual property products136.7138.8140.8144.3144.0143.7143.6143.9144.7145.7147.3149.0151.4153.8155.7157.6160.4162.6164.4166.1
94   Financial assets66,649.567,123.468,258.168,436.368,270.066,921.168,398.169,527.370,982.371,576.070,132.671,082.473,287.272,870.874,206.875,205.977,014.077,800.179,528.581,073.2
95      Monetary gold11.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.0
96      Currency and deposits2,016.91,945.82,130.82,275.72,260.92,118.42,092.52,177.82,634.52,853.22,780.22,706.72,629.52,561.92,548.82,686.72,969.93,197.83,502.43,513.1
97      Debt securities17,639.817,979.018,103.018,350.818,050.218,044.018,371.918,559.518,978.219,064.819,456.419,834.320,270.720,325.320,601.521,026.421,511.621,647.421,833.322,426.0
98         SDR certificates2.22.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.2
99         Open market paper1,095.6952.6853.8853.2779.3733.5745.8764.2822.9779.7716.3688.4716.8701.3689.7686.0732.6728.5747.9720.0
100         Treasury securities2,194.22,423.92,522.92,582.62,727.82,713.92,802.23,086.63,443.03,587.63,842.64,063.74,215.64,184.54,219.94,371.44,529.44,581.14,644.64,900.5
101         Agency- and GSE-backed securities (1)5,425.75,659.85,705.95,898.55,505.35,528.95,521.45,487.95,460.05,477.55,574.75,646.65,724.55,776.15,816.35,882.96,022.36,138.06,188.96,310.9
102         Municipal securities1,705.51,719.01,731.31,742.31,737.91,737.11,756.41,786.51,766.51,759.41,761.41,799.91,826.11,845.51,889.01,938.11,952.81,948.51,936.21,945.6
103         Corporate and foreign bonds6,223.26,224.06,270.46,191.86,234.16,260.66,459.46,286.26,351.96,413.36,406.86,416.86,585.46,609.36,758.26,888.77,003.87,067.77,149.07,191.6
104         Nonmarketable government securities993.2997.61,013.51,077.21,060.61,064.81,081.51,142.91,128.81,042.11,149.31,213.71,197.21,203.51,223.31,254.11,265.51,178.41,161.51,352.3
105      Loans25,061.623,958.723,362.422,567.922,349.522,210.022,029.321,817.321,735.121,712.521,764.421,817.521,759.721,869.822,070.322,285.722,034.622,086.622,208.422,325.8
106         Short term10,820.89,784.79,303.48,622.48,576.28,554.88,491.68,503.88,501.18,567.98,697.18,810.88,826.29,002.19,249.39,481.49,289.49,335.29,411.39,509.1
107         Long term (mortgages)14,240.814,174.014,058.913,945.613,773.313,655.213,537.613,313.513,234.013,144.613,067.313,006.712,933.512,867.712,821.012,804.312,745.212,751.312,797.112,816.7
108      Equity and investment fund shares13,777.015,208.316,845.517,619.018,079.316,536.017,934.919,231.919,919.819,803.317,594.418,523.620,539.619,786.420,740.820,896.822,240.622,404.123,522.324,957.4
109         Corporate equities6,747.58,030.89,420.59,992.510,483.79,307.010,375.011,495.212,058.211,958.010,083.310,905.012,290.211,735.812,415.412,479.713,556.513,730.314,647.415,853.9
110         Mutual fund shares1,680.21,947.02,258.32,423.72,555.72,282.02,521.62,726.62,814.72,772.72,490.32,613.52,893.22,752.72,893.02,877.93,126.43,179.53,351.73,555.2
111         Money market fund shares1,176.91,102.11,044.21,003.2873.6810.1815.9830.6802.6785.6726.3759.3702.9665.0662.7707.6660.2650.7673.8651.7
112         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
113         U.S. direct investment abroad746.7753.8773.2832.3835.2842.7852.4870.7876.5887.1889.7840.3850.7854.7856.4891.9904.8911.1926.4914.0
114         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
115         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
116      Insurance, pension and standardized
          guarantee schemes
4,562.34,411.34,155.44,030.04,084.44,637.94,581.24,399.34,378.14,729.15,021.04,810.64,530.64,739.74,660.44,728.64,482.34,559.84,570.34,102.5
117      Other accounts receivable3,580.93,609.23,650.03,581.93,434.53,363.83,377.33,330.43,325.53,402.03,505.23,378.83,546.03,576.63,574.03,570.63,764.03,893.53,880.83,737.4
118Total liabilities and net worth68,181.968,629.569,739.469,914.169,738.068,386.869,863.870,997.172,454.173,059.271,626.672,589.474,805.074,398.275,738.376,743.178,561.579,362.781,100.182,657.4
119   Liabilities66,353.467,008.668,707.668,943.268,945.467,310.968,888.870,518.572,198.472,696.470,544.571,817.774,218.673,598.875,208.176,286.178,436.379,444.081,134.483,173.9
120      Currency and deposits11,202.911,063.511,355.311,660.611,686.411,589.711,645.911,990.612,673.913,143.013,272.513,447.913,467.113,546.813,622.114,015.014,504.815,057.115,492.215,865.2
121      Debt securities15,363.615,034.814,778.014,497.213,775.213,555.013,415.213,432.413,401.613,209.113,106.913,032.612,985.012,851.512,887.412,849.312,802.512,753.012,768.212,888.1
122         Agency- and GSE-backed securities (1)8,160.38,118.88,098.18,083.37,684.07,665.47,599.57,574.07,624.37,553.37,560.07,552.17,508.57,517.27,519.57,529.77,566.27,635.87,688.57,769.7
123         Corporate bonds6,230.36,071.95,979.25,735.65,471.15,321.75,240.95,282.45,184.75,098.25,019.74,972.64,972.24,861.74,913.24,870.54,782.54,691.34,679.84,718.3
124         Commercial paper973.0844.0700.7678.2620.2567.9574.8576.0592.6557.6527.3507.9504.3472.6454.6449.1453.8426.0399.9400.2
125      Loans5,954.95,529.75,255.04,768.44,850.94,795.34,722.34,720.74,774.24,864.64,998.94,913.14,930.54,974.75,079.65,106.54,949.64,936.14,843.74,888.8
126         Short term5,785.45,355.05,080.14,593.24,677.14,622.54,545.84,544.64,592.64,677.44,810.74,723.54,739.84,784.34,886.54,912.14,750.14,735.44,646.64,686.6
127         Long term (mortgages)169.4174.7174.8175.3173.8172.8176.5176.1181.6187.2188.2189.5190.7190.5193.1194.4199.5200.7197.1202.2
128      Equity and investment fund shares14,910.015,976.917,179.617,501.117,853.516,789.017,766.918,678.219,522.919,521.217,583.318,482.520,288.919,881.920,831.521,416.222,708.523,112.324,019.925,253.9
129         Money market fund shares3,739.03,584.63,363.03,258.62,930.52,760.42,746.12,755.42,679.42,637.82,577.92,642.52,535.52,467.92,506.92,649.62,553.82,541.92,638.92,678.3
130         Corporate equity issues2,347.92,880.03,556.63,578.13,941.13,578.23,861.94,295.44,590.64,548.63,727.34,070.74,682.54,488.14,767.34,931.35,501.35,724.85,961.26,465.6
131         Mutual fund shares5,062.55,814.76,585.86,920.77,246.46,711.57,346.57,873.08,402.18,503.77,449.57,870.98,797.48,653.49,131.09,326.110,088.710,297.910,904.911,544.8
132         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
133         Foreign direct investment in the United
             States
339.7355.5368.9407.0415.0420.9436.7489.6502.2515.6524.0561.9554.2561.1567.0578.9589.1594.4598.6559.3
134         Equity in noncorporate business13.012.212.514.815.415.115.515.914.513.912.011.916.716.617.417.317.917.916.517.6
135         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
136         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
137      Insurance, pension and standardized
          guarantee schemes
16,710.917,283.417,922.018,265.718,743.218,562.619,274.819,932.420,285.520,410.220,061.820,472.221,082.020,971.621,368.221,510.021,993.122,164.122,561.823,046.8
138      Other accounts payable2,211.32,120.52,217.82,250.12,036.22,019.32,063.61,764.21,540.21,548.41,521.11,469.51,465.11,372.41,419.31,389.21,477.81,421.51,448.61,231.0
139   Net worth1,828.51,620.91,031.9970.9792.61,075.9975.0478.5255.8362.81,082.0771.7586.4799.4530.3457.0125.2-81.4-34.3-516.5
       Footnotes


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