Integrated Macroeconomic Accounts for the United States Table

S.8.q State and Local Governments
  
Today is: 4/7/2013   Last Revised on March 12, 2013  
 Data Table Options
 Data Table Options
 
First Year Last Year Series: Annual(A)  Quarterly(Q) Monthly(M)
Get all years    
HTML    Locking Stubs   (Enables graph and chart generation)  What is that?
 Tools Options
Tools Options
Printing instructions
Help is available for downloading csv files.
Download Dates Shown(CSV)
Download All Years(CSV)
Advanced Download

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 added1,266.01,279.81,298.01,313.91,313.51,321.21,324.01,327.51,330.51,336.21,338.41,343.21,346.91,353.21,357.01,356.21,366.51,372.11,379.81,384.0
2Less: Consumption of fixed capital185.8189.0192.8197.3199.4198.9198.1198.6200.5202.5204.3205.9207.9210.8213.9216.8219.2221.7223.6225.0
3Equals: Net value added1,080.21,090.81,105.21,116.61,114.11,122.31,125.91,128.81,130.01,133.71,134.21,137.31,139.01,142.31,143.11,139.41,147.31,150.41,156.21,159.0
4   Compensation of employees (paid)1,092.41,103.11,117.61,129.01,125.91,133.41,136.51,139.61,141.71,146.11,147.11,150.41,152.01,155.81,157.21,154.11,162.61,166.41,172.81,176.0
5   Operating surplus, net-12.2-12.3-12.4-12.4-11.8-11.0-10.6-10.8-11.7-12.4-12.9-13.1-13.1-13.5-14.1-14.7-15.4-16.1-16.6-17.0
6Net national income/Balance of primary incomes,
    net
931.9936.6933.7909.9900.4900.9914.2923.0924.0924.4928.6935.8946.5954.2952.8959.3973.1972.1967.5---  
7   Operating surplus, net-12.2-12.3-12.4-12.4-11.8-11.0-10.6-10.8-11.7-12.4-12.9-13.1-13.1-13.5-14.1-14.7-15.4-16.1-16.6-17.0
8   Taxes on production and imports, receivable942.4951.6952.2932.2923.3922.3935.9945.7950.9955.2961.4970.4982.1990.7990.1998.81,015.21,015.71,012.31,014.2
9   Subsidies (paid)-4.0-2.9-2.2-2.8-2.0-1.2-1.2-1.2-1.6-2.1-1.6-1.0-0.9-0.4-0.4-0.4-0.5-0.5-0.5-0.5
10   Property income received, net5.70.3-4.0-7.2-9.1-9.1-9.9-10.8-13.5-16.4-18.3-20.6-21.7-22.6-22.8-24.4-26.2-27.1-27.6---  
11Net national income/Balance of primary incomes,
    net
931.9936.6933.7909.9900.4900.9914.2923.0924.0924.4928.6935.8946.5954.2952.8959.3973.1972.1967.5---  
12Plus: Current taxes on income, wealth, etc.
    (received)
386.0420.7378.5341.8331.5317.8339.2343.9338.5328.1351.5362.2368.1373.8368.8370.7376.0380.4383.5---  
13Plus: Social benefits (received)18.718.819.019.419.319.118.818.618.518.418.318.418.418.418.318.117.817.517.317.2
14Less: Social contributions (paid)446.3456.1461.0463.4480.0493.5508.6498.4511.7516.6538.0546.9552.0542.9531.4527.9534.4551.6563.7568.8
15Plus: Other current transfers (received)495.6505.3503.7515.3549.3611.6598.7614.6624.7631.5655.9660.8631.7642.2595.4581.6571.1583.4587.8597.5
16Equals: Disposable income, net1,385.91,425.31,373.81,322.91,320.51,355.91,362.31,401.71,394.01,385.81,416.21,430.21,412.71,445.61,404.01,401.91,403.71,401.81,392.4---  
17Less: Final consumption expenditures1,428.41,455.11,475.61,437.81,436.11,465.81,487.91,503.51,505.21,494.21,488.61,496.91,511.41,520.31,522.01,518.41,531.41,525.51,532.41,534.4
18Equals: Net saving-42.5-29.8-101.8-114.9-115.6-109.9-125.5-101.8-111.1-108.4-72.4-66.7-98.7-74.6-118.0-116.5-127.6-123.7-140.0---  
                                              
                                                 Capital account
19Net saving less capital transfers17.033.5-36.2-51.8-55.9-48.7-53.8-28.5-47.5-33.210.314.1-27.4-2.9-45.1-42.4-59.1-53.3-68.4---  
20   Net saving-42.5-29.8-101.8-114.9-115.6-109.9-125.5-101.8-111.1-108.4-72.4-66.7-98.7-74.6-118.0-116.5-127.6-123.7-140.0---  
21   Less: Capital transfers paid (net)-59.5-63.2-65.6-63.1-59.7-61.2-71.7-73.4-63.6-75.3-82.7-80.8-71.2-71.7-72.9-74.1-68.5-70.4-71.6-71.9
22Capital formation, net169.3173.7174.9169.0167.6170.1165.2153.9143.3151.4151.1140.1125.0118.3115.8115.9107.5106.8106.7103.7
        Gross fixed capital formation (acquisition
          of
23   produced nonfinancial assets)340.9348.6353.6352.1353.6356.1350.9340.6332.0342.4343.9334.5321.5317.7318.3321.3315.5317.5319.5318.1
24   Less: Consumption of fixed capital185.8189.0192.8197.3199.4198.9198.1198.6200.5202.5204.3205.9207.9210.8213.9216.8219.2221.7223.6225.0
25   Acquisition of nonproduced nonfinancial assets14.214.114.114.113.412.812.412.011.711.611.511.411.511.511.511.411.211.010.810.6
26Net lending (+) or borrowing (-), capital
    account (lines 19-22)
-152.3-140.3-211.1-220.8-223.6-218.7-219.0-182.4-190.8-184.6-140.8-126.0-152.5-121.2-160.9-158.3-166.6-160.0-175.1---  
                                         Financial
                                           account
27Net lending (+) or borrowing (-) (line 26)-152.3-140.3-211.1-220.8-223.6-218.7-219.0-182.4-190.8-184.6-140.8-126.0-152.5-121.2-160.9-158.3-166.6-160.0-175.1---  
28Net acquisition of financial assets-40.2-55.5-123.7-198.9-102.811.8-28.7-25.6-15.9-112.7-14.063.3-183.0-139.1-105.3-135.3-107.3-6.8-121.4-219.8
29   Currency and deposits1.928.516.962.041.7105.3-33.60.414.8-14.91.4-6.57.041.728.550.9-5.826.936.1-4.7
30      Currency and transferable deposits-3.97.79.920.3-2.1104.5-44.518.74.55.59.03.317.221.211.916.7-8.8-8.0-6.6-11.6
31      Time and savings deposits5.820.87.041.743.80.710.9-18.310.3-20.3-7.6-9.9-10.220.516.634.23.034.942.76.9
32   Debt securities-112.6-87.8-301.9-261.4-12.3-154.5-94.0-62.950.2-38.754.685.5-58.4-74.6-128.1-73.6-62.01.7-0.1-76.3
33      Open market paper-74.3-50.7-94.4-108.1-97.2-105.6-45.1-45.971.359.852.956.243.643.7-8.016.2-3.4-3.9-5.4-11.9
34      Treasury securities-29.1-41.5-91.8-83.5111.6-12.1-16.1-1.3-12.3-35.92.212.0-55.0-70.7-58.3-29.9-10.925.8-6.5-41.9
35      Agency- and GSE-backed securities (1)-7.62.6-86.7-52.8-20.6-43.4-40.4-22.6-12.4-52.5-6.17.0-40.8-41.2-51.1-54.8-43.2-15.019.0-6.4
36      Municipal securities0.60.8-1.4-0.40.21.11.21.10.9-0.11.11.40.20.2-0.8-0.4-0.3-0.4-0.5-1.2
37      Corporate and foreign bonds-2.21.0-27.6-16.6-6.45.56.45.82.6-10.24.68.8-6.5-6.6-10.0-4.7-4.2-4.8-6.7-14.9
38   Loans-11.8-3.7-60.3-40.1-18.65.87.66.1-0.2-26.0-7.5-4.9-13.1-18.5-19.6-9.3-8.3-9.5-9.2-25.2
39      Short term (security repurchases)-8.7-5.8-27.4-20.7-11.6-1.6-1.1-1.7-4.2-14.4-2.70.4-11.1-11.1-7.4-3.5-3.1-3.6-5.0-11.0
40      Long term (mortgages)-3.12.1-33.0-19.4-7.07.48.67.84.0-11.7-4.8-5.2-2.0-7.3-12.2-5.8-5.2-5.9-4.3-14.3
41   Equity and investment fund shares49.025.2-3.38.5-64.527.640.940.7-19.240.0-39.4-33.0-35.6-6.253.1-58.9-61.37.2-35.9-24.2
42      Money market fund shares5.07.5-18.8-7.10.910.811.811.48.6-2.710.514.40.30.1-9.3-4.4-3.9-4.5-6.3-13.9
43      Corporate equities28.413.73.5-15.4-80.637.849.534.9-20.727.3-35.5-33.6-25.7-5.941.2-35.9-37.87.7-19.5-6.8
44      Mutual fund shares15.64.011.931.015.1-21.0-20.4-5.6-7.115.4-14.5-13.8-10.2-0.421.2-18.5-19.54.0-10.1-3.5
45   Other accounts receivable33.4-17.7224.932.2-49.127.750.4-9.8-61.4-73.1-23.022.2-82.8-81.6-39.1-44.430.1-33.2-112.4-89.5
46      Trade receivables-21.7-20.1-21.4-25.8-21.0-17.4-17.8-18.3-18.8-20.9-18.8-18.8-19.5-19.20.00.00.00.00.00.0
47      Taxes receivable-4.0-2.710.15.44.0-5.7-10.7-14.5-9.9-3.42.12.28.84.37.57.012.45.410.27.8
48      Other (miscellaneous assets)59.15.1236.252.6-32.250.978.823.0-32.7-48.8-6.338.8-72.1-66.7-46.6-51.417.8-38.6-122.6-97.2
49Net incurrence of liabilities95.260.058.015.4111.4181.8150.9166.5133.352.794.6157.7-45.6-43.235.73.039.4133.337.7-70.6
50   Debt securities (municipals)56.019.516.7-23.872.4141.5110.0124.892.612.254.1115.8-86.0-84.1-5.6-38.6-1.692.0-2.4-110.7
51      Short term7.72.2-1.510.20.215.345.4-29.60.7-5.5-4.36.5-11.9-25.713.9-18.8-3.436.315.2-32.9
52      Other48.417.218.2-34.072.2126.364.6154.491.917.758.5109.3-74.1-58.4-19.5-19.81.955.7-17.6-77.8
53   Loans (short term)0.40.81.11.00.60.80.71.20.60.40.52.00.40.81.11.20.51.1-0.4-0.4
54   Other accounts payable (trade payables)38.739.740.238.238.439.540.240.440.140.140.039.940.040.140.340.440.440.340.540.5
  Addendum:
55Net lending (+) or borrowing (-), financial
    account (lines 28-49)
-135.4-115.5-181.7-214.3-214.2-170.0-179.7-192.1-149.1-165.3-108.6-94.4-137.4-95.9-141.0-138.3-146.7-140.1-159.1-149.3
                       Other changes in volume
                         account
56Total other volume changes6.72.163.7-62.9-1.616.961.1-60.25.412.951.5-64.55.515.751.2-63.6-0.2-11.483.3-70.7
57   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.08.2
58   Other volume changes10.0-5.4-11.9-2.512.0-5.1-17.44.73.7-4.1-18.4-7.112.4-4.2-16.5-3.016.4-6.8-16.8-18.1
59   Less: Statistical discrepancy ((lines
       26-[28-49])/4) (2)
3.3-7.5-75.560.413.6-21.9-78.564.9-1.7-17.0-69.957.46.9-19.8-67.660.616.64.7-100.160.9
                                           
                                              Revaluation account
60Nonfinancial assets90.674.0123.7171.768.7-85.2-103.0-14.642.953.541.351.367.0106.1118.4123.185.191.258.053.1
61   Structures89.471.9121.2168.368.1-85.5-102.5-14.342.653.140.852.065.8104.2116.5122.083.389.456.552.9
62   Equipment and software1.22.12.53.40.60.3-0.5-0.30.20.30.5-0.81.31.81.91.11.81.81.50.2
63Equity and investment fund shares-13.3-2.5-15.3-28.3-10.811.213.35.66.7-13.612.612.96.9-0.5-17.612.713.5-3.96.0-0.4
64Changes in net worth due to nominal holding
    gains/losses
77.371.4108.4143.457.9-74.0-89.7-9.049.639.953.964.173.9105.5100.8135.798.687.364.052.7
                    Changes in balance sheet account
65Change in net worth ((lines 22+26)/4 + lines
    56+64) (3)
80.887.8116.2115.942.3-68.3-91.0-28.437.145.463.252.968.8121.893.3111.485.592.350.514.5
                       Balance sheet account (end
                         of period)
66Total assets10,159.210,259.010,374.610,509.710,581.910,551.410,485.810,517.010,589.310,636.610,713.010,825.310,884.210,982.011,075.111,208.011,304.711,414.111,466.711,485.8
67   Nonfinancial assets (4)7,664.67,778.57,942.58,152.98,260.18,214.28,149.48,170.38,246.08,334.58,410.68,494.18,589.58,722.38,866.79,016.09,125.29,240.39,322.39,390.4
68      Structures7,403.57,512.07,670.27,874.97,979.37,930.97,864.57,883.27,956.68,042.98,117.18,199.68,292.28,421.48,562.28,708.88,814.78,926.39,005.19,070.9
69      Equipment and software261.1266.6272.2278.0280.8283.3284.9287.0289.5291.6293.6294.5297.3300.9304.5307.1310.5314.1317.2319.5
70   Financial assets2,494.62,480.42,432.12,356.82,321.82,337.22,336.42,346.72,343.22,302.12,302.42,331.22,294.72,259.82,208.42,192.02,179.52,173.72,144.42,095.4
71      Currency and deposits287.8283.6286.6318.8326.4340.0331.1347.2348.9332.2332.0345.9345.8343.4349.8377.9394.2388.0396.2410.2
72         Currency and transferable deposits66.466.365.979.974.799.485.499.195.295.794.8104.6103.8108.6108.2121.4119.0117.1111.8118.0
73         Time and savings deposits221.4217.3220.7238.9251.7240.5245.7248.1253.7236.4237.2241.3242.0234.8241.6256.5275.2271.0284.4292.2
74      Debt securities1,327.01,307.31,225.31,162.71,161.01,123.71,093.81,081.71,095.61,086.51,093.91,119.61,106.01,087.81,049.61,035.91,021.31,021.51,015.51,001.8
75         Open market paper120.7108.184.557.433.16.7-4.5-16.01.816.830.044.155.065.963.968.067.166.164.861.8
76         Treasury securities582.4574.3544.8526.7556.0554.3543.8547.2545.4537.1531.3538.7526.0508.7487.9485.2483.4489.6482.0476.9
77         Agency- and GSE-backed securities (1)465.6466.3444.6431.4426.3415.4405.3399.7396.6383.5381.9383.7373.5363.2350.4336.7325.9322.2326.9325.3
78         Municipal securities9.69.89.59.49.49.710.010.310.510.510.711.111.111.211.010.910.810.710.610.3
79         Corporate and foreign bonds148.6148.8141.9137.8136.2137.6139.2140.6141.3138.7139.9142.1140.5138.8136.3135.2134.1132.9131.2127.5
80      Loans311.1310.2295.1285.1280.4281.9283.7285.3285.2278.7276.8275.6272.3267.7262.8260.5258.4256.1253.7247.4
81         Short term (security repurchases)130.6129.2122.4117.2114.3113.9113.6113.2112.1108.5107.8107.9105.1102.4100.599.698.998.096.794.0
82         Long term (mortgages)180.5181.0172.7167.9166.1168.0170.1172.1173.1170.2169.0167.7167.2165.4162.3160.8159.5158.1157.0153.4
83      Equity and investment fund shares248.4252.1236.0209.8182.9201.0224.5240.3242.2238.6241.4246.0244.0241.9237.5235.5233.6231.5228.6222.1
84         Money market fund shares117.8119.7115.0113.3113.5116.2119.1122.0124.1123.5126.1129.7129.8129.8127.5126.3125.4124.2122.7119.2
85         Corporate equities92.193.784.060.533.648.468.480.780.277.877.477.775.874.072.772.071.570.869.967.9
86         Mutual fund shares38.438.737.036.135.836.437.037.537.937.437.938.638.438.137.437.136.836.536.035.0
87      Other accounts receivable320.4327.2389.2380.5371.1390.7403.2392.3371.4366.2358.3344.1326.6319.0308.7282.2272.0276.6250.4213.9
88         Trade receivables64.559.454.147.642.438.033.629.024.319.114.49.74.80.00.00.00.00.00.00.0
89         Taxes receivable116.1117.1119.8117.9117.2122.2116.9111.1106.1108.3105.0104.7104.6110.9109.7110.0111.9114.1112.3112.3
90         Other (miscellaneous assets)139.8150.6215.3215.1211.5230.5252.7252.1241.0238.8239.0229.7217.2208.2199.0172.2160.1162.6138.1101.6
91Total liabilities and net worth10,159.210,259.010,374.610,509.710,581.910,551.410,485.810,517.010,589.310,636.610,713.010,825.310,884.210,982.011,075.111,208.011,304.711,414.111,466.711,485.8
92   Liabilities3,417.53,429.43,428.83,448.13,477.93,515.73,541.13,600.73,635.93,637.83,651.03,710.33,700.43,676.43,676.33,697.83,709.03,726.03,728.13,732.7
93      Debt securities (municipals)2,842.32,844.12,833.22,842.72,862.82,890.52,905.72,954.92,979.92,971.62,974.73,023.63,003.62,969.42,958.92,970.02,970.92,977.72,969.72,964.3
94         Short term52.642.143.555.855.446.061.463.663.747.352.063.060.137.648.152.351.943.455.756.1
95         Other2,789.72,802.02,789.72,786.92,807.42,844.52,844.32,891.32,916.22,924.32,922.72,960.62,943.52,931.72,910.82,917.62,919.02,934.32,914.02,908.2
96      Loans (short term)12.012.212.512.712.913.113.213.513.713.813.914.414.514.715.015.315.415.715.615.5
97      Other accounts payable (trade payables)563.1573.1583.1592.7602.3612.1622.2632.3642.3652.4662.4672.3682.3692.4702.4712.5722.6732.7742.8752.9
98   Net worth6,741.86,829.56,945.87,061.67,104.07,035.76,944.76,916.36,953.46,998.87,062.17,115.07,183.87,305.67,398.87,510.27,595.77,688.17,738.67,753.1
       Footnotes


Page creation time = 2.375 Seconds on SERVER F - page last updated 5-16-08