Integrated Macroeconomic Accounts for the United States Table

S.8.q State and Local Governments
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 8/20/2014   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 added1,408.41,418.01,422.81,428.61,439.71,454.81,459.71,462.51,461.11,468.81,471.81,470.21,486.61,489.41,493.01,498.71,497.51,500.41,506.71,515.5
2Less: Consumption of fixed capital208.5208.1207.7208.4210.0211.9213.6215.4217.4220.2223.1226.1228.5230.8232.4233.7234.9236.6238.3240.6
3Equals: Net value added1,199.91,209.91,215.11,220.11,229.71,242.91,246.11,247.11,243.81,248.61,248.71,244.11,258.11,258.61,260.61,265.01,262.61,263.81,268.41,274.9
4   Compensation of employees (paid)1,221.81,231.01,236.21,241.51,250.41,263.11,265.71,265.81,261.41,265.41,264.81,259.61,272.81,272.91,274.71,279.01,277.51,279.01,283.91,290.7
5   Operating surplus, net-21.9-21.2-21.0-21.4-20.7-20.2-19.6-18.7-17.6-16.8-16.1-15.5-14.8-14.3-14.1-14.0-14.9-15.2-15.5-15.7
6Net national income/Balance of primary incomes,
    net
825.7803.4804.2810.9817.0825.9833.5841.3855.0863.5856.5859.0865.2857.1850.8857.7874.0874.9886.6892.7
7   Operating surplus, net-21.9-21.2-21.0-21.4-20.7-20.2-19.6-18.7-17.6-16.8-16.1-15.5-14.8-14.3-14.1-14.0-14.9-15.2-15.5-15.7
8   Taxes on production and imports, receivable927.7925.6938.3947.5949.2957.9964.2970.2982.4991.4986.7993.61,007.21,003.71,000.61,008.31,021.91,020.21,029.71,034.4
9   Subsidies (paid)-2.0-1.2-1.2-1.2-1.6-2.1-1.6-1.0-0.9-0.4-0.4-0.4-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5
10   Property income received, net-78.1-99.8-111.8-114.1-109.8-109.6-109.5-109.2-108.9-110.7-113.6-118.6-126.7-131.8-135.3-136.2-132.5-129.7-127.1-125.4
11Net national income/Balance of primary incomes,
    net
825.7803.4804.2810.9817.0825.9833.5841.3855.0863.5856.5859.0865.2857.1850.8857.7874.0874.9886.6892.7
12Plus: Current taxes on income, wealth, etc.
    (received)
331.3321.9339.3341.0335.9327.8351.3366.2373.0376.1380.7381.1391.2399.4400.3410.1431.5449.1419.6421.7
13Plus: Social benefits (received)18.718.718.518.418.218.118.118.218.318.418.318.117.817.617.417.317.317.417.617.9
14Less: Social contributions (paid)479.1491.3502.3497.8508.0512.5533.3541.4545.4535.3522.7524.7527.3547.5548.8553.7552.3555.9568.9568.6
15Plus: Other current transfers (received)524.1584.1569.9586.3597.8598.9624.2626.9603.8609.7563.6550.2544.8549.6557.0558.7542.7558.4569.9563.2
16Equals: Disposable income, net1,220.71,236.71,229.61,258.71,260.91,258.11,293.81,311.21,304.61,332.51,296.51,283.71,291.81,276.11,276.71,290.11,313.21,343.81,324.81,327.0
17Less: Final consumption expenditures1,487.91,503.41,515.21,527.01,521.21,521.01,515.41,515.61,515.01,521.11,519.71,514.01,533.01,531.31,536.81,544.31,543.01,541.41,550.81,557.3
18Equals: Net saving-267.1-266.7-285.6-268.3-260.3-262.9-221.6-204.4-210.3-188.6-223.1-230.3-241.1-255.2-260.1-254.2-229.8-197.6-226.0-230.3
                                              
                                                 Capital account
19Net saving less capital transfers-206.0-204.2-212.8-193.8-195.3-186.6-138.1-122.3-137.6-115.9-149.3-153.8-170.5-183.2-186.9-173.7-158.6-129.0-151.1-161.7
20   Net saving-267.1-266.7-285.6-268.3-260.3-262.9-221.6-204.4-210.3-188.6-223.1-230.3-241.1-255.2-260.1-254.2-229.8-197.6-226.0-230.3
21   Less: Capital transfers paid (net)-61.1-62.5-72.8-74.5-65.0-76.3-83.5-82.1-72.7-72.7-73.8-76.5-70.6-72.0-73.2-80.5-71.3-68.6-74.9-68.7
22Capital formation, net169.9172.8168.4157.5146.4154.6154.4143.4130.4125.2123.4123.7116.7118.5112.4107.5101.0100.8106.6104.9
        Gross fixed capital formation (acquisition
          of
23   produced nonfinancial assets)365.3368.5364.1354.3345.3355.8357.6348.6337.7335.2336.4339.6334.9339.0334.6331.2326.1327.8335.6336.3
24   Less: Consumption of fixed capital208.5208.1207.7208.4210.0211.9213.6215.4217.4220.2223.1226.1228.5230.8232.4233.7234.9236.6238.3240.6
25   Acquisition of nonproduced nonfinancial assets13.112.512.011.611.110.710.310.210.110.110.110.210.310.310.210.19.89.69.49.2
26Net lending (+) or borrowing (-), capital
    account (lines 19-22)
-375.9-377.0-381.2-351.3-341.7-341.2-292.5-265.7-268.0-241.1-272.8-277.5-287.2-301.7-299.3-281.2-259.6-229.8-257.7-266.6
                                         Financial
                                           account
27Net lending (+) or borrowing (-) (line 26)-375.9-377.0-381.2-351.3-341.7-341.2-292.5-265.7-268.0-241.1-272.8-277.5-287.2-301.7-299.3-281.2-259.6-229.8-257.7-266.6
28Net acquisition of financial assets-161.0129.189.70.036.51.7170.272.1-80.6-7.354.2-33.515.0163.4148.8-51.4170.170.9-90.5-62.9
29   Currency and deposits46.7101.7-32.2-0.624.1-17.40.6-10.115.638.225.648.618.1-26.238.510.629.4-19.059.27.1
30      Currency and transferable deposits-1.2104.6-44.518.06.15.49.21.919.520.312.115.3-8.9-5.2-8.2-13.613.2-11.828.8-4.3
31      Time and savings deposits47.8-2.912.3-18.517.9-22.8-8.5-12.0-3.817.913.533.327.0-21.046.724.216.3-7.330.311.4
32   Debt securities-133.825.157.1-118.386.23.684.330.1-82.2-45.7-3.3-77.5-15.1125.252.3-60.066.532.9-151.4-75.1
33      Open market paper-25.7-9.0-5.9-115.685.3-13.6-7.3-12.5-19.5-14.92.3-12.8-9.5-1.3-5.5-12.4-2.6-5.3-12.2-11.1
34      Treasury securities-59.5-4.33.8-9.7-10.0-1.928.910.5-45.1-47.0-22.8-15.819.788.049.9-0.937.426.1-93.5-27.2
35      Agency- and GSE-backed securities (1)-37.027.943.44.47.413.545.923.1-13.811.212.8-41.5-23.823.10.4-39.717.93.2-38.9-32.5
36      Municipal securities0.01.41.80.91.01.11.91.40.51.10.3-0.6-0.11.10.6-0.51.00.7-0.5-0.3
37      Corporate and foreign bonds-11.69.114.11.62.64.514.97.6-4.23.84.1-6.9-1.314.26.9-6.412.98.2-6.2-4.1
38   Loans-27.715.926.71.62.36.126.811.6-12.03.810.2-9.21.732.218.2-9.129.319.9-9.1-5.0
39      Short term-16.60.84.5-5.8-4.9-3.54.4-1.5-10.3-4.43.0-2.91.212.87.5-2.612.08.5-2.4-0.8
40      Long term (mortgages)-11.115.122.27.47.19.622.413.0-1.78.27.1-6.40.519.410.7-6.517.311.3-6.7-4.2
41   Equity and investment fund shares-16.218.927.46.37.911.329.316.8-3.710.27.1-9.8-0.127.014.5-9.024.916.8-8.6-4.9
42      Money market fund shares-2.814.519.08.59.211.020.514.23.310.73.8-4.21.015.68.9-3.814.510.1-3.6-1.6
43      Corporate equities-11.11.23.9-3.4-2.8-1.83.9-0.3-6.7-2.42.2-3.7-0.77.53.7-3.46.94.4-3.3-2.2
44      Mutual fund shares-2.33.24.51.21.52.04.82.9-0.31.91.1-1.9-0.43.91.9-1.83.52.3-1.7-1.1
45   Other accounts receivable-29.9-32.410.6111.0-83.9-1.929.223.61.7-13.914.614.510.55.225.316.119.920.419.515.1
46      Trade receivables-22.3-4.9-1.510.314.013.99.215.1-4.36.21.26.32.18.97.24.98.711.29.16.2
47      Taxes receivable1.2-31.35.41.52.3-16.713.05.910.3-20.511.17.74.8-16.69.410.6-1.2-0.59.66.8
48      Other (miscellaneous assets)-8.83.86.799.2-100.20.97.02.6-4.30.42.40.53.612.98.70.612.49.70.82.0
49Net incurrence of liabilities401.4684.8436.1300.5331.2292.5516.8393.4269.8337.7337.7240.6277.0411.1414.5213.0425.1296.1244.1219.8
50   Debt securities (municipals)75.4145.4112.4115.6100.414.454.1105.8-74.0-80.8-11.2-48.312.786.7-6.1-116.071.733.0-116.9-145.4
51      Short term1.515.643.6-29.43.0-5.4-8.68.4-8.8-25.25.8-14.20.731.610.0-27.2-4.48.6-19.4-28.3
52      Other73.9129.868.9145.097.419.762.897.4-65.2-55.6-17.0-34.012.055.2-16.1-88.876.024.4-97.5-117.2
53   Loans (short term)0.60.80.71.20.60.40.52.00.40.81.11.20.51.1-0.40.51.3-0.20.50.6
54   Insurance, pension and standardized guarantee
       schemes
287.1499.7283.7144.4191.8239.1423.6247.3305.2379.4309.4248.9224.9284.2381.8289.3312.8224.0320.6324.6
     (Claim of pension funds on sponsor)
55   Other accounts payable (trade payables)38.338.939.239.338.538.638.538.338.238.338.538.738.939.139.239.239.239.339.940.1
  Addendum:
56Net lending (+) or borrowing (-), financial
    account (lines 28-49)
-562.4-555.7-346.4-300.5-294.6-290.8-346.6-321.3-350.4-345.0-283.6-274.1-261.9-247.7-265.6-264.4-255.0-225.1-334.6-282.7
                       Other changes in volume
                         account
57Total other volume changes-199.2178.9313.164.461.5-282.3166.289.0114.3-31.1-277.4149.8273.3-53.3166.4-64.8228.042.2169.6132.2
58   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-7.60.00.00.00.0
59   Other volume changes-138.5224.4238.1103.256.8-293.3121.5152.4142.3-5.2-335.7202.6273.4-77.8105.9-4.7234.843.0115.7199.4
60   Less: Statistical discrepancy ((lines
       26-56)/4) (2)
60.645.5-75.038.8-4.7-11.0-44.763.528.026.0-58.452.90.1-24.5-60.552.56.90.8-53.967.2
                                           
                                              Revaluation account
61Nonfinancial assets66.5-81.5-83.6-6.534.348.439.353.763.4101.3112.1115.771.675.344.034.550.150.054.681.6
62   Structures66.5-80.8-83.2-6.932.947.338.653.162.599.5110.3113.770.774.944.235.550.850.454.381.5
63   Equipment0.1-0.7-0.40.01.00.70.60.20.31.21.41.70.3-0.2-0.4-1.0-1.2-0.30.30.2
64   Intellectual property products-0.10.00.00.50.30.50.10.50.50.60.40.30.60.50.20.00.5-0.10.0-0.1
65Equity and investment fund shares-14.720.820.47.07.5-15.114.414.87.9-0.6-20.615.316.2-4.77.5-0.514.13.17.813.1
66Changes in net worth due to nominal holding
    gains/losses
51.7-60.8-63.20.541.733.353.768.671.3100.791.5131.087.870.651.534.064.253.162.494.7
                    Changes in balance sheet account
67Change in net worth ((lines 22+26)/4 + lines
    57+66) (3)
-206.374.2147.566.043.7-287.4141.0173.8140.251.5-272.6291.8306.5-17.7126.4-28.2240.589.4126.5240.0
                       Balance sheet account (end
                         of period)
68Total assets10,856.610,863.410,850.810,905.010,985.211,047.311,169.011,307.911,382.911,505.011,628.811,798.311,928.112,071.512,173.312,223.412,346.712,442.412,494.612,611.2
69   Nonfinancial assets (4)8,299.08,257.58,213.08,243.08,311.08,395.38,470.68,557.58,650.88,780.88,921.29,065.29,163.39,265.69,335.19,386.39,459.29,531.99,610.89,716.3
70      Structures7,966.67,923.47,876.87,903.67,968.08,049.68,122.88,207.78,298.88,425.68,562.78,703.78,800.08,900.88,969.69,020.89,093.69,166.19,244.09,348.5
71      Equipment237.8238.5239.4240.9242.9244.1245.0245.4245.9247.4249.2250.8251.1251.1250.8249.8248.4247.9248.0248.1
72      Intellectual property products94.595.796.898.5100.0101.6102.8104.4106.1107.8109.3110.7112.3113.7114.8115.7117.1117.9118.9119.7
73   Financial assets2,557.62,605.92,637.92,662.02,674.22,652.02,698.52,750.32,732.02,724.12,707.62,733.12,764.82,805.82,838.22,837.12,887.52,910.42,883.92,894.9
74      Currency and deposits325.6339.2330.6347.0349.0332.6332.4346.3346.1343.8350.2378.3396.2389.5395.7407.7409.0404.5415.7426.8
75         Currency and transferable deposits74.799.485.499.095.295.894.8104.7103.8108.6108.3121.5118.8117.3111.9117.8115.1112.4116.0124.3
76         Time and savings deposits251.0239.8245.2248.0253.8236.8237.6241.6242.3235.1242.0256.8277.4272.1283.8289.8293.9292.1299.7302.5
77      Debt securities1,338.31,346.31,353.91,327.91,350.31,352.41,367.11,379.01,358.71,348.41,341.21,326.81,322.91,355.41,362.11,352.41,368.41,377.81,333.61,320.6
78         Open market paper121.1118.8117.388.4109.8106.4104.6101.496.592.893.490.287.887.586.183.082.481.178.075.2
79         Treasury securities587.9588.5582.8584.0582.3583.1583.8590.8579.8569.2557.2558.1563.0586.2592.3597.3606.0613.8584.0583.0
80         Agency- and GSE-backed securities (1)469.1476.0486.9488.0489.8493.2504.7510.5507.0509.8513.0502.6496.7502.5502.6492.6497.1497.9488.2480.1
81         Municipal securities10.410.711.211.411.711.912.412.812.913.213.213.113.113.413.513.413.613.813.713.6
82         Corporate and foreign bonds149.9152.1155.7156.1156.7157.8161.6163.5162.4163.4164.4162.7162.4165.9167.6166.0169.2171.3169.7168.7
83      Loans309.5312.7318.4317.7317.5318.2324.1326.3322.7323.0325.0322.2322.1329.6333.7331.0338.0342.7340.2338.7
84         Short term125.6125.8126.9125.5124.3123.4124.5124.1121.6120.5121.2120.5120.8124.0125.9125.2128.2130.4129.8129.6
85         Long term (mortgages)183.9186.9191.5192.2193.2194.8199.6202.2201.1202.5203.8201.7201.2205.6207.8205.8209.8212.3210.4209.1
86      Equity and investment fund shares233.9259.4286.7295.2304.6292.4314.1333.1340.1342.0323.2336.0352.2354.2365.4362.6382.9390.2395.9407.8
87         Money market fund shares125.0128.6133.4135.5137.8140.6145.7149.2150.1152.7153.7152.6152.9156.8159.0158.0161.7164.2163.3162.9
88         Corporate equities77.892.5107.5111.4115.8105.2115.8125.7129.4128.4115.3124.4135.0133.7139.6138.4149.4152.6156.9165.0
89         Mutual fund shares31.238.345.848.351.046.752.558.160.760.954.258.964.463.766.866.171.873.475.779.8
90      Other accounts receivable350.2348.4348.3374.3352.7356.4360.8365.6364.4366.9367.9369.8371.4377.1381.4383.4389.2395.2398.4401.0
91         Trade receivables138.2136.9136.6139.1142.6146.1148.4152.2151.1152.7152.9154.5155.0157.2159.0160.3162.4165.2167.5169.1
92         Taxes receivable121.4119.8118.4117.1117.1117.1117.4117.8118.8119.6119.7120.0120.1120.4120.6121.3121.8122.6123.4123.8
93         Other (miscellaneous assets)90.791.693.3118.193.093.295.095.694.694.795.395.496.399.5101.7101.8104.9107.4107.6108.1
94Total liabilities and net worth10,856.610,863.410,850.810,905.010,985.211,047.311,169.011,307.911,382.911,505.011,628.811,798.311,928.112,071.512,173.312,223.412,346.712,442.412,494.612,611.2
95   Liabilities4,953.84,886.54,726.44,714.64,751.15,100.65,081.45,046.44,981.15,051.75,448.15,325.95,149.35,310.35,285.75,364.15,246.95,253.25,178.95,055.5
96      Debt securities (municipals)2,862.82,890.52,905.72,954.92,979.92,971.62,974.73,023.63,003.62,969.42,958.92,970.02,970.92,977.72,969.72,964.32,978.92,970.42,937.02,924.9
97         Short term55.446.061.463.663.747.352.063.060.137.648.152.351.943.455.756.154.539.446.045.3
98         Other2,807.42,844.52,844.32,891.32,916.22,924.32,922.72,960.62,943.52,931.72,910.82,917.62,919.02,934.32,914.02,908.22,924.42,931.02,891.02,879.6
99      Loans (short term)12.913.113.213.513.713.813.914.414.514.715.015.315.415.715.615.716.016.016.116.2
100      Insurance, pension and standardized
          guarantee schemes
1,477.01,372.01,186.81,115.71,117.41,465.41,433.31,339.41,284.51,379.51,776.51,633.21,445.81,590.01,563.71,637.51,495.71,500.71,449.71,328.2
           (Claim of pension funds on sponsor)
101      Other accounts payable (trade payables)601.2610.9620.7630.5640.1649.8659.4669.0678.5688.1697.8707.4717.2726.9736.7746.5756.3766.2776.1786.1
102   Net worth5,902.85,977.06,124.46,190.46,234.15,946.76,087.76,261.56,401.76,453.26,180.66,472.46,778.86,761.26,887.56,859.37,099.87,189.27,315.77,555.7
       Footnotes


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