Integrated Macroeconomic Accounts for the United States Table

S.7.q Federal Government
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 7/22/2014   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 added660.7667.5671.4675.8694.4707.2706.9709.4715.3720.3722.0721.2720.9718.5715.4712.1711.2707.8699.5703.8
2Less: Consumption of fixed capital232.7234.0234.8236.6240.2244.1246.9250.1253.2256.1257.9258.6260.4261.9262.9263.7265.6266.8267.8269.9
3Equals: Net value added427.9433.5436.5439.2454.2463.2459.9459.2462.1464.2464.1462.6460.5456.6452.4448.4445.6441.0431.7433.8
4   Compensation of employees (paid)427.8432.7435.0438.5454.6465.6463.8464.8468.3470.6471.7471.5470.2468.4466.9466.2466.2464.8457.6462.4
5   Operating surplus, net0.10.81.50.6-0.4-2.4-3.9-5.6-6.2-6.4-7.6-8.9-9.7-11.8-14.4-17.8-20.6-23.8-25.9-28.6
6Net national income/Balance of primary incomes,
    net
-230.3-281.3-297.1-270.9-272.6-291.6-283.1-299.2-309.6-352.7-318.1-312.3-302.4-348.3-290.7-338.5-271.4-102.4-294.6-182.1
7   Operating surplus, net0.10.81.50.6-0.4-2.4-3.9-5.6-6.2-6.4-7.6-8.9-9.7-11.8-14.4-17.8-20.6-23.8-25.9-28.6
8   Taxes on production and imports, receivable86.493.891.993.493.196.398.998.7102.9108.5109.2113.9117.2118.6118.2118.0118.8118.6119.3123.9
9   Subsidies (paid)-53.2-54.2-65.8-54.5-53.2-53.4-54.6-55.9-57.9-59.5-60.1-60.2-57.3-57.2-55.6-57.3-57.5-58.5-58.6-58.2
10   Property income received, net-263.6-321.6-324.7-310.5-311.9-332.2-323.5-336.4-348.4-395.3-359.7-357.2-352.5-397.9-338.9-381.4-312.1-138.8-329.3-219.1
11Net national income/Balance of primary incomes,
    net
-230.3-281.3-297.1-270.9-272.6-291.6-283.1-299.2-309.6-352.7-318.1-312.3-302.4-348.3-290.7-338.5-271.4-102.4-294.6-182.1
12Plus: Current taxes on income, wealth, etc.
    (received)
1,071.61,036.41,062.91,118.71,145.11,183.51,236.01,268.31,383.81,394.61,379.01,392.71,494.51,495.51,520.41,561.81,592.21,623.91,641.21,671.3
13Plus: Social benefits (received)947.5952.6949.9953.3958.7970.9975.2978.8898.7902.5910.8905.4929.2932.1934.6955.31,081.71,091.21,096.71,105.6
14Less: Social contributions (paid)1,530.91,657.41,645.61,665.61,721.01,722.91,728.41,734.31,734.31,743.41,748.21,755.41,775.61,780.91,793.11,812.31,848.11,849.01,862.81,866.8
15Plus: Other current transfers (received)66.876.758.562.963.861.766.066.168.065.666.863.860.354.645.638.453.957.451.056.3
16Less: Other current transfers (paid)460.6532.4524.4525.6547.2536.5566.9572.7550.3562.5508.6494.4490.7492.4500.0489.3479.2498.1509.2483.8
17Equals: Disposable income, net-135.9-405.4-395.8-327.3-373.2-334.9-301.3-293.0-243.8-295.9-218.3-200.3-84.7-139.4-83.2-84.7129.2322.9122.5300.4
18Less: Final consumption expenditures904.8931.2945.9952.9979.11,005.11,018.81,012.71,001.11,017.41,013.41,002.71,009.31,007.41,036.1993.9982.3976.0972.4953.4
19Equals: Net saving-1,040.7-1,336.6-1,341.7-1,280.2-1,352.3-1,340.0-1,320.1-1,305.7-1,244.9-1,313.4-1,231.7-1,203.0-1,094.0-1,146.9-1,119.3-1,078.5-853.1-653.1-850.0-653.0
                                              
                                                 Capital account
20Net saving less capital transfers-1,315.6-1,529.2-1,462.2-1,437.4-1,485.8-1,505.3-1,427.6-1,404.7-1,335.3-1,429.9-1,344.5-1,338.5-1,182.7-1,219.3-1,193.3-1,182.1-918.9-711.5-911.4-702.1
21   Net saving-1,040.7-1,336.6-1,341.7-1,280.2-1,352.3-1,340.0-1,320.1-1,305.7-1,244.9-1,313.4-1,231.7-1,203.0-1,094.0-1,146.9-1,119.3-1,078.5-853.1-653.1-850.0-653.0
22   Less: Capital transfers paid (net)274.9192.6120.5157.2133.5165.3107.599.090.4116.6112.8135.588.772.474.0103.565.858.461.549.1
23Capital formation, net16.944.650.949.949.153.754.857.042.841.235.632.620.623.221.716.36.59.09.80.0
     Gross fixed capital formation (acquisition of
24   produced nonfinancial assets)277.5283.4287.3287.7290.1299.5302.9307.4296.3297.9295.1292.2282.4286.4286.0281.4272.7276.6278.8271.3
25   Less: Consumption of fixed capital232.7234.0234.8236.6240.2244.1246.9250.1253.2256.1257.9258.6260.4261.9262.9263.7265.6266.8267.8269.9
26   Acquisition of nonproduced nonfinancial assets-27.8-4.9-1.6-1.2-0.8-1.7-1.1-0.2-0.2-0.7-1.6-1.0-1.4-1.3-1.4-1.4-0.6-0.8-1.1-1.3
27Net lending (+) or borrowing (-), capital
    account (lines 20-23)
-1,332.5-1,573.8-1,513.1-1,487.3-1,535.0-1,559.0-1,482.4-1,461.7-1,378.1-1,471.1-1,380.0-1,371.1-1,203.3-1,242.5-1,215.0-1,198.3-925.4-720.5-921.3-702.1
                                         Financial
                                           account
28Net lending (+) or borrowing (-) (line 27)-1,332.5-1,573.8-1,513.1-1,487.3-1,535.0-1,559.0-1,482.4-1,461.7-1,378.1-1,471.1-1,380.0-1,371.1-1,203.3-1,242.5-1,215.0-1,198.3-925.4-720.5-921.3-702.1
29Net acquisition of financial assets307.6420.7266.6-43.7184.3283.5266.8389.8-579.977.4-269.0152.5-71.4268.094.0175.0139.9208.7-81.5422.9
30   Monetary gold and SDRs0.10.0190.91.90.00.00.00.0-7.80.60.10.10.00.00.00.00.00.00.00.0
31      Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
32      SDR holdings0.10.0190.91.90.00.00.00.0-7.80.60.10.10.00.00.00.00.00.00.00.0
33   Currency and deposits-334.4119.9-177.8-287.8154.4197.675.7174.6-823.910.9-305.4158.6-116.6110.9-25.375.0-7.1130.3-192.8331.8
34      Official foreign currencies0.40.30.40.20.40.20.30.2-1.70.30.30.20.30.20.20.10.20.20.10.1
35      Reserve position in IMF (net)3.014.04.0-7.62.30.33.8-1.325.823.915.67.54.312.82.9-3.93.1-1.2-4.3-11.3
36      Currency and transferable deposits-337.6104.3-182.3-281.4151.7196.272.6175.0-845.9-15.4-321.4152.3-121.597.0-28.379.4-8.2130.2-188.9345.3
37      Time and savings deposits0.01.10.00.30.10.3-1.21.0-1.81.0-0.1-0.20.30.9-0.1-0.4-1.70.90.2-1.3
38      Nonofficial foreign currencies-0.20.30.00.60.00.60.2-0.4-0.31.10.2-1.3-0.10.00.1-0.3-0.50.20.1-1.0
39   Debt securities209.1176.192.592.4-40.0-44.0-43.3-60.2-43.1-139.1-132.6-158.1-118.6-5.9-0.4-0.1-0.2-0.1-0.10.0
40      Agency- and GSE-backed securities209.1174.691.892.3-40.0-44.3-43.7-60.7-43.1-139.1-132.3-158.0-118.5-5.80.00.00.00.00.00.0
41      Corporate and foreign bonds0.01.50.70.10.10.30.40.50.00.0-0.3-0.1-0.10.0-0.4-0.1-0.2-0.1-0.10.0
42   Loans95.0179.7193.7197.754.7122.4172.7172.1195.7115.7123.9114.1158.4176.8115.194.6165.5125.2109.1102.2
43      Short term91.4157.9162.6203.960.0117.2194.3175.2189.8109.1123.9110.4152.2174.3113.198.8158.3125.7105.496.7
44         Consumer credit32.461.967.7189.745.6118.9190.7177.4181.1120.8116.995.0140.0165.9121.1101.3148.2117.297.789.2
45         Other loans and advances59.096.094.914.214.4-1.73.7-2.28.7-11.87.015.412.18.4-8.0-2.610.18.57.77.5
46      Long term (mortgages)3.621.831.1-6.3-5.25.2-21.6-3.15.96.70.03.76.32.52.0-4.27.2-0.53.75.5
47   Equity and investment fund shares364.2-122.754.0-281.83.285.123.59.663.956.73.849.8-18.2-11.1-8.9-4.7-5.05.5-10.2-0.8
48      Corporate equities363.6-127.953.7-287.1-5.474.719.77.361.349.61.049.3-19.8-18.1-9.9-5.0-5.2-2.8-10.3-1.1
49      Equity in international organizations0.65.20.30.61.95.31.30.82.35.81.70.41.57.01.00.30.18.30.10.3
50      Equity in government-sponsored enterprises
          (1)
0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
51      Equity investment under Public-Private
          Inv. Program
0.00.00.04.86.75.12.51.50.31.31.10.10.10.00.00.00.00.00.00.0
52   Other accounts receivable-26.467.6-86.7233.911.9-77.738.293.735.432.541.3-12.123.6-2.813.410.2-13.3-52.312.4-10.2
53      Trade receivables-7.311.0-90.52.4-3.0-12.73.49.4-1.29.26.05.1-2.67.26.2-0.3-14.114.4-4.3-2.1
54      Taxes receivable-29.980.549.443.416.111.812.867.640.224.436.5-18.038.3-8.88.110.1-2.4-46.51.7-24.9
55      Other (miscellaneous assets)10.8-23.9-45.6188.1-1.3-76.822.016.7-3.6-1.0-1.20.8-12.2-1.2-0.90.43.1-20.215.116.7
56Net incurrence of liabilities1,580.31,862.61,569.81,131.71,784.31,918.91,476.81,611.3962.51,282.01,125.41,432.91,492.41,310.3879.31,315.61,271.8418.4660.01,166.8
57   SDR allocations0.00.0190.40.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
58   Currency and deposits0.00.0-1.0-0.40.00.0-1.10.00.00.00.00.00.00.00.00.00.00.0-1.40.0
59   Debt securities1,685.21,895.71,397.71,056.71,805.51,888.61,430.31,459.3967.0493.01,814.31,280.41,517.81,281.4833.51,089.61,398.627.363.81,939.5
60      SDR certificates0.00.012.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
61      Treasury securities including savings bonds1,642.11,828.81,325.4978.61,720.31,810.01,377.41,410.5856.7772.01,408.81,229.71,414.61,185.5788.01,174.11,169.7298.5173.61,396.0
62      Federal agency securities-3.2-1.13.71.20.31.10.50.81.20.21.91.1-3.30.1-0.31.9-1.01.30.5-2.4
63      Nonmarketable securities held by pension
          plans
46.368.056.676.984.877.552.448.0109.1-279.1403.649.5106.695.845.8-86.5229.9-272.6-110.3545.9
64   Loans (mortgages)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
65   Insurance, pension and standardized guarantee
       schemes
12.915.025.979.3-8.512.552.1118.1-20.5764.3-694.4106.7-21.85.436.1227.8-145.7352.3604.1-799.8
66      Insurance reserves-0.22.10.22.4-0.30.70.72.50.31.71.21.90.51.5-0.2-0.50.20.8-0.50.5
67      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
68      Claims of pension fund on sponsor29.98.221.22.9-3.97.235.741.7-20.5787.9-731.540.9-17.7-7.543.0175.1-141.3361.1605.7-864.1
69   Other accounts payable-117.8-48.1-43.1-3.9-12.617.8-4.433.916.024.85.545.8-3.623.59.6-1.818.938.7-6.527.2
70      Trade payables-95.3-67.0-36.8-25.54.2-2.91.022.925.00.04.87.710.88.624.617.02.831.725.413.3
71      Other (miscellaneous liabilities)-22.518.9-6.321.7-16.820.8-5.411.0-9.124.70.638.1-14.414.9-14.9-18.716.17.0-32.013.9
  Addendum:
72Net lending (+) or borrowing (-), financial
    account (lines 29-56)
-1,272.7-1,441.9-1,303.2-1,175.4-1,600.0-1,635.4-1,210.0-1,221.5-1,542.4-1,204.7-1,394.4-1,280.5-1,563.8-1,042.3-785.3-1,140.6-1,131.9-209.6-741.5-743.9
                       Other changes in volume
                         account
73Total other volume changes16.466.2-25.565.3-37.316.2-2.72.4-18.986.3-42.422.2-58.060.375.8-9.863.4-83.788.469.8
74   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
75   Other volume changes-37.016.3-19.3-15.9-68.919.3-20.7-44.0-41.645.8-6.14.4-43.546.1-0.4-15.6-35.436.13.123.6
76   Less: Statistical discrepancy ((lines
       27-72)/4) (2)
-53.4-50.06.2-81.2-31.53.1-18.0-46.4-22.7-40.536.3-17.714.5-14.2-76.2-5.8-98.8119.7-85.4-46.1
                                           
                                              Revaluation account
77   Nonfinancial assets-3.8-22.8-17.78.214.113.312.821.121.717.816.37.615.214.98.22.810.416.914.020.4
78      Structures-0.8-24.0-20.0-3.64.90.55.47.38.612.512.113.49.210.48.17.14.313.113.114.5
79      Equipment0.32.31.94.10.71.00.23.18.11.34.3-2.75.22.40.5-2.60.53.2-1.70.6
80      Intellectual property products-3.3-1.10.57.78.511.97.210.74.94.0-0.2-3.00.82.2-0.4-1.75.60.62.65.3
81   Financial assets-56.2-33.5-11.1-20.7-18.4-21.4-0.4-3.5-1.0-11.7-11.3-16.4-4.9-4.30.4-0.2-3.4-0.21.40.4
82      Monetary gold and SDRs-0.30.30.8-0.6-1.8-1.52.9-0.61.70.5-1.4-0.90.5-1.10.9-0.2-1.40.21.10.2
83      Currency and deposits-0.20.40.3-0.1-0.4-0.30.6-0.10.4-3.6-3.0-1.6-0.7-3.1-0.50.0-2.0-0.40.30.2
84      Corporate equities-55.7-34.3-12.1-19.7-15.8-19.3-3.7-2.7-3.1-8.6-6.9-13.8-4.70.00.00.00.00.00.00.0
85      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
86   Liabilities-0.20.30.8-0.6-1.7-1.42.7-0.61.60.5-1.4-0.90.5-1.10.9-0.2-1.30.21.10.2
87      SDR allocations-0.20.30.8-0.6-1.7-1.42.7-0.61.60.5-1.4-0.90.5-1.10.9-0.2-1.30.21.10.2
88Changes in net worth due to nominal holding
    gains/losses
-59.8-56.6-29.5-11.9-2.6-6.79.718.119.05.56.3-7.89.811.77.82.88.416.514.320.5
                    Changes in balance sheet account
89Change in net worth ((lines 23+27)/4 + lines
    73+88) (3)
-443.2-302.2-396.2-330.1-484.1-309.0-331.3-334.4-425.6-176.5-357.3-332.5-447.0-130.7-202.1-314.2-318.579.5-187.0-187.3
                       Balance sheet account (end
                         of period)
90Total assets4,151.64,210.14,264.84,229.24,274.14,360.64,472.14,569.04,441.14,481.94,438.44,463.34,447.14,543.04,596.24,626.94,674.04,764.84,775.44,891.3
91   Nonfinancial assets (4)2,835.12,825.12,821.42,842.12,867.12,894.32,922.22,957.52,988.63,016.73,043.43,059.23,079.03,099.63,114.93,121.63,138.83,156.03,168.83,190.1
92         Structures1,368.61,346.01,328.31,326.11,331.11,334.21,343.21,352.51,362.11,376.31,390.71,404.11,412.11,421.51,429.71,435.61,443.11,452.21,459.61,472.4
93         Equipment621.9630.8639.5649.8656.3663.9670.6680.9693.0698.9707.6709.6718.0724.7729.8730.5732.7738.4739.7741.6
94         Intellectual property products844.6848.3853.6866.2879.7896.2908.4924.1933.5941.6945.1945.5948.9953.4955.4955.5963.0965.4969.6976.0
95   Financial assets1,316.51,385.01,443.41,387.11,407.01,466.31,549.91,611.51,452.51,465.21,395.01,404.01,368.11,443.31,481.31,505.31,535.21,608.91,606.61,701.2
96         Monetary gold and SDRs9.19.457.957.856.054.657.456.856.557.255.955.055.554.355.255.153.753.955.055.2
97            Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
98            SDR holdings9.19.457.957.856.054.657.456.856.557.255.955.055.554.355.255.153.753.955.055.2
99         Currency and deposits305.5357.8316.6233.0258.3329.5351.6383.4165.3186.8109.5135.693.7140.9135.7142.4126.9181.9135.2206.0
100         Official foreign currencies23.024.325.925.224.423.825.826.026.126.826.325.825.525.225.824.923.823.424.123.8
101         Reserve position in IMF (net)8.312.213.511.511.711.513.112.619.521.922.823.023.523.523.722.821.520.820.117.4
102         Currency and transferable deposits271.9319.1274.8193.6219.5291.6310.2342.1117.5135.557.684.342.189.383.492.079.4135.288.5162.9
103         Time and savings deposits1.71.61.91.92.01.81.82.01.51.71.81.71.92.22.12.01.61.81.91.5
104         Nonofficial foreign currencies0.40.50.50.70.70.80.90.80.71.01.00.70.70.70.70.70.50.60.60.4
105      Debt securities106.7150.7173.9197.0187.0176.0165.2150.1139.3104.671.431.92.20.80.70.60.60.60.60.6
106         Agency- and GSE-backed securities106.7150.4173.3196.4186.4175.3164.4149.2138.4103.770.631.11.50.00.00.00.00.00.00.0
107         Corporate and foreign bonds0.00.40.50.60.60.70.80.90.90.90.80.80.80.80.70.60.60.60.60.6
108      Loans369.9405.5462.1509.3527.3545.7604.3643.4697.5712.8757.1780.8825.6856.3898.5917.0964.1981.11,022.91,042.5
109         Short term273.2303.3352.1400.9420.3437.3497.7537.6590.2603.9648.2670.9714.1744.3786.0805.5850.8867.9908.8927.0
110            Consumer credit146.6152.7177.8223.1238.8256.3315.8356.2406.7423.3465.8484.7524.9552.9596.6616.8659.5674.6713.5729.8
111            Other loans and advances126.6150.6174.3177.9181.5181.1182.0181.4183.6180.6182.4186.3189.3191.4189.4188.7191.3193.4195.3197.2
112         Long term (mortgages)96.7102.2110.0108.4107.1108.4106.6105.8107.3108.9108.9109.9111.4112.1112.5111.5113.3113.2114.1115.5
113      Equity and investment fund shares272.3207.3208.7118.2102.8104.5106.5106.1118.9124.4118.4117.0107.8105.0102.7101.5100.3101.799.198.9
114         Corporate equities223.9157.6158.867.450.249.650.849.962.166.059.357.848.243.641.239.938.637.935.335.1
115         Equity in international organizations48.449.749.850.050.451.852.152.352.954.354.754.955.257.057.257.357.359.459.459.5
116         Equity in government-sponsored
             enterprises (1)
0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
117         Equity investment under Public-Private
             Inv. Program
0.00.00.00.92.13.13.63.83.94.14.44.44.44.44.44.44.44.44.44.4
118      Other accounts receivable253.1254.2224.2271.8275.6256.1265.0271.7274.9279.4282.7283.7283.4286.1288.4288.7289.7289.7293.9298.1
119         Trade receivables65.068.245.743.645.042.042.742.944.747.048.247.749.050.752.050.348.752.050.648.8
120         Taxes receivable123.4127.3131.2133.9136.6139.2141.9144.3146.7149.1151.5152.8154.2155.5156.8158.6160.4162.2164.0165.8
121         Other (miscellaneous assets)64.758.747.394.394.074.880.384.583.683.383.083.280.279.979.679.880.575.579.383.4
122Total liabilities and net worth4,151.64,210.14,264.84,229.24,274.14,360.64,472.14,569.04,441.14,481.94,438.44,463.34,447.14,543.04,596.24,626.94,674.04,764.84,775.44,891.3
123   Liabilities9,897.510,258.110,709.011,003.511,532.411,927.912,370.812,802.113,099.813,317.213,631.013,988.314,419.114,645.714,901.015,245.915,611.515,622.915,820.416,123.5
124      SDR allocations7.37.656.055.453.652.255.054.456.056.555.254.254.753.654.554.352.953.154.254.4
125      Currency and deposits26.626.526.326.226.226.225.925.925.925.925.925.925.925.925.925.925.925.925.625.6
126      Debt securities7,822.48,165.18,562.78,887.89,348.99,697.710,104.410,533.810,779.810,785.911,282.111,672.512,054.312,258.812,508.312,853.013,200.913,096.413,148.613,710.3
127         SDR certificates2.22.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.25.2
128         Treasury securities including savings
             bonds
6,804.47,143.17,520.87,781.98,259.68,603.88,993.89,361.59,621.49,714.110,102.610,428.310,827.511,025.611,255.511,568.911,905.511,887.911,956.812,328.3
129         Federal agency securities22.522.323.223.523.623.924.024.224.524.525.025.324.424.524.424.924.625.025.124.5
130         Nonmarketable securities held by
             pension plans
993.2997.61,013.51,077.21,060.61,064.81,081.51,142.91,128.81,042.11,149.31,213.71,197.21,203.51,223.31,254.11,265.51,178.41,161.51,352.3
131      Loans (mortgages)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
132      Insurance, pension and standardized
          guarantee schemes
1,794.51,822.41,838.61,825.51,887.31,931.71,967.31,973.52,009.72,217.62,037.62,012.22,050.02,069.02,069.82,074.42,084.02,191.12,331.42,077.2
133         Insurance reserves46.346.946.947.547.447.647.848.448.548.949.249.749.850.250.150.050.150.250.150.3
134         Retiree Health Care Funds159.6160.8161.9180.4179.3180.5184.4202.9202.8196.5205.4221.4220.3223.1221.5234.8233.6231.3231.0246.9
135         Claims of pension fund on sponsor1,588.51,614.81,629.81,597.61,660.61,703.61,735.11,722.21,758.41,972.21,782.91,741.11,779.91,795.71,798.21,789.61,800.31,909.62,050.31,780.0
136      Other accounts payable246.8236.4225.4208.6216.4220.1218.2214.5228.3231.3230.2223.5234.2238.4242.4238.3247.7256.3260.6256.1
137         Trade payables242.5232.3221.4204.6212.5216.3214.5210.9224.8227.8226.9220.3231.1235.4239.6235.5245.1253.7258.2253.8
138         Other (miscellaneous liabilities)4.24.24.14.03.93.83.73.63.53.43.33.23.13.02.92.82.62.52.42.3
139   Net worth-5,745.8-6,048.0-6,444.2-6,774.2-7,258.3-7,567.3-7,898.7-8,233.1-8,658.7-8,835.2-9,192.6-9,525.1-9,972.0-10,102.7-10,304.8-10,619.0-10,937.5-10,858.0-11,045.0-11,232.3
       Footnotes


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