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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: 9/28/2016   Last Revised on September 21, 2016 

Data Table Options
First Year Last Year Series: Annual(A)  Quarterly(Q) Monthly(M)
Get all years    

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 added1,408.41,418.01,422.81,428.61,439.71,454.81,459.71,462.51,464.81,474.11,476.01,470.51,487.11,490.71,498.21,509.91,520.51,527.31,535.71,544.6
2Less: Consumption of fixed capital208.5208.1207.7208.4210.0211.9213.6215.4217.7220.7223.8226.5228.8231.3233.2234.3235.7237.4239.3241.5
3Equals: Net value added1,199.91,209.91,215.11,220.11,229.71,242.91,246.11,247.11,247.11,253.41,252.21,244.01,258.31,259.41,265.01,275.71,284.71,289.91,296.41,303.0
4   Compensation of employees (paid)1,221.81,231.01,236.21,241.51,250.41,263.11,265.71,265.81,265.01,270.81,269.41,260.91,271.81,270.31,274.11,283.61,293.41,299.41,306.61,313.9
5   Operating surplus, net-21.9-21.2-21.0-21.4-20.7-20.2-19.6-18.7-18.0-17.5-17.1-16.9-13.5-10.9-9.1-7.9-8.7-9.5-10.2-10.9
6Net national income/Balance of primary incomes,
    net
825.7803.4804.2810.9817.0825.9833.5841.3856.1867.9865.1869.4879.9878.7875.1887.7905.5907.6918.7926.2
7   Operating surplus, net-21.9-21.2-21.0-21.4-20.7-20.2-19.6-18.7-18.0-17.5-17.1-16.9-13.5-10.9-9.1-7.9-8.7-9.5-10.2-10.9
8   Taxes on production and imports, receivable927.7925.6938.3947.5949.2957.9964.2970.2982.8995.1994.81,003.31,015.11,014.91,012.21,025.41,044.51,045.81,053.81,056.3
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-78.1-99.8-111.8-114.1-109.8-109.6-109.5-109.2-107.9-109.3-112.2-116.5-121.3-124.8-127.6-129.4-129.8-128.2-124.4-118.7
11Net national income/Balance of primary incomes,
    net
825.7803.4804.2810.9817.0825.9833.5841.3856.1867.9865.1869.4879.9878.7875.1887.7905.5907.6918.7926.2
12Plus: Current taxes on income, wealth, etc.
    (received)
331.3321.9339.3341.0335.9327.8351.3366.2367.7366.5378.4384.4385.4394.6402.5414.1437.7441.4421.8424.3
13Plus: Social benefits (received)18.718.718.518.418.218.118.118.218.318.318.218.118.018.018.018.218.318.418.618.8
14Less: Social contributions (paid)479.1491.3502.3497.8508.0512.5533.3541.4544.8533.9520.5522.3523.4543.4541.5551.7547.7561.1571.8573.0
15Plus: Other current transfers (received)524.1584.1569.9586.3597.8598.9624.2626.9603.2610.3562.3552.8551.8552.5557.7570.1556.9573.1578.6576.4
16Less: Other current transfers (paid)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
17Equals: Disposable income, net1,220.71,236.71,229.61,258.71,260.91,258.11,293.81,311.21,300.51,329.11,303.51,302.41,311.71,300.31,311.81,338.31,370.71,379.41,365.81,372.8
18Less: Final consumption expenditures1,487.91,503.41,515.21,527.01,521.21,521.01,515.41,515.61,515.61,529.61,530.41,523.61,536.41,530.81,534.21,543.91,554.91,558.21,565.91,571.8
19Equals: Net saving-267.1-266.7-285.6-268.3-260.3-262.9-221.6-204.4-215.1-200.5-226.9-221.2-224.7-230.4-222.3-205.6-184.1-178.8-200.1-199.0
                                              
                                                 Capital account
20Net saving less capital transfers-206.0-204.2-212.8-193.8-195.3-186.6-138.1-122.3-142.3-127.8-153.3-144.9-154.2-158.3-149.9-124.1-111.7-109.5-126.0-128.5
21   Net saving-267.1-266.7-285.6-268.3-260.3-262.9-221.6-204.4-215.1-200.5-226.9-221.2-224.7-230.4-222.3-205.6-184.1-178.8-200.1-199.0
22   Less: Capital transfers paid (net)-61.1-62.5-72.8-74.5-65.0-76.3-83.5-82.1-72.8-72.7-73.6-76.4-70.5-72.1-72.4-81.6-72.4-69.3-74.1-70.6
23Capital formation, net169.9172.8168.4157.5146.4154.6154.4143.4132.1128.1125.8124.2114.7112.9104.595.793.895.495.992.4
     Gross fixed capital formation (acquisition of
24   produced nonfinancial assets)365.3368.5364.1354.3345.3355.8357.6348.6340.1339.4340.5341.9334.6335.2328.5320.7320.5323.8326.2325.0
25   Less: Consumption of fixed capital208.5208.1207.7208.4210.0211.9213.6215.4217.7220.7223.8226.5228.8231.3233.2234.3235.7237.4239.3241.5
26   Acquisition of nonproduced nonfinancial assets13.112.512.011.611.110.710.310.29.79.39.08.89.09.19.29.39.09.09.09.0
27Net lending (+) or borrowing (-), capital
    account (lines 20-23)
-375.9-377.0-381.2-351.3-341.7-341.2-292.5-265.7-274.5-255.9-279.1-269.1-268.9-271.3-254.4-219.8-205.6-204.9-221.9-220.9
                                         Financial
                                           account
28Net lending (+) or borrowing (-) (line 27)-375.9-377.0-381.2-351.3-341.7-341.2-292.5-265.7-274.5-255.9-279.1-269.1-268.9-271.3-254.4-219.8-205.6-204.9-221.9-220.9
29Net acquisition of financial assets-157.6143.596.445.526.1-26.8174.7135.4-75.6-36.22.61.9-13.8104.0151.746.460.0-79.1-43.8-28.5
30   Currency and deposits46.4107.6-36.00.921.1-13.7-4.4-4.212.340.419.058.78.920.421.51.522.226.737.014.8
31      Currency and transferable deposits-0.7106.2-47.519.24.69.44.34.517.125.56.518.0-10.8-0.5-13.5-10.210.9-5.722.20.9
32      Time and savings deposits47.11.411.5-18.316.5-23.2-8.6-8.6-4.814.912.540.619.720.935.011.811.332.414.813.9
33   Debt securities-131.321.169.3-87.283.2-27.696.369.7-74.8-79.8-28.6-60.6-28.940.367.16.8-0.1-96.3-100.9-57.7
34      Open market paper-25.1-9.7-5.0-112.485.0-16.8-6.3-9.1-19.1-17.80.2-11.4-10.8-7.1-4.7-7.5-7.4-13.0-9.4-9.5
35      Treasury securities-60.9-4.310.1-1.0-11.5-10.933.422.7-42.3-58.4-30.6-4.123.460.865.328.621.8-23.0-61.5-17.3
36      Agency- and GSE-backed securities (1)-34.525.447.018.76.5-0.750.740.9-10.6-3.41.3-40.4-37.6-16.9-2.4-17.8-17.8-51.1-29.2-29.8
37      Municipal securities0.01.31.91.20.90.82.11.90.50.70.0-0.4-0.30.30.70.30.2-0.7-0.1-0.1
38      Corporate and foreign bonds-10.88.315.36.22.30.016.413.3-3.2-0.90.4-4.4-3.63.28.33.23.1-8.5-0.8-1.0
39   Loans-26.114.329.210.91.6-3.029.922.9-10.5-5.52.9-4.6-2.910.420.810.39.8-13.41.71.0
40      Short term-15.90.15.5-2.1-5.2-7.15.52.8-9.6-7.90.3-1.0-0.54.68.44.74.6-4.21.71.5
41      Long term (mortgages)-10.114.223.713.06.84.024.320.1-0.92.42.6-3.6-2.45.812.45.65.2-9.30.0-0.4
42   Equity and investment fund shares-14.917.529.414.17.43.531.926.7-1.92.10.7-5.3-4.17.816.77.97.7-12.70.90.4
43      Money market fund shares-2.213.820.012.59.07.122.019.44.36.50.4-1.8-1.25.210.15.35.2-5.91.51.3
44      Corporate equities-10.60.74.6-0.8-3.0-4.34.72.8-6.2-4.90.2-2.3-1.91.74.41.71.6-4.5-0.4-0.5
45      Mutual fund shares-2.13.04.82.41.40.85.34.4-0.10.60.1-1.2-1.00.92.30.90.8-2.3-0.2-0.3
46   Other accounts receivable-31.7-16.94.5106.8-87.214.020.920.2-0.76.68.613.813.125.125.619.920.416.617.613.1
47      Trade receivables-22.3-4.9-1.510.314.013.99.215.1-1.29.44.69.61.88.76.84.18.412.910.66.0
48      Taxes receivable-1.0-15.4-1.3-5.4-0.81.93.9-0.84.2-0.53.72.29.110.19.39.45.74.53.13.2
49      Other (miscellaneous assets)-8.33.37.4101.9-100.4-1.87.95.9-3.7-2.40.21.92.36.39.56.56.4-0.84.03.8
50Net incurrence of liabilities444.7734.0417.0325.9299.4239.8483.1421.0243.1286.3362.9341.2298.2399.0397.9282.6288.2162.1243.6213.1
51   Debt securities (municipals)81.1149.2116.0161.290.91.148.4149.0-85.9-114.2-3.99.2-15.944.23.8-57.7-2.8-58.0-82.0-84.6
52      Short term1.414.139.8-23.83.5-10.8-12.416.1-7.9-36.26.1-4.51.116.011.9-13.7-4.3-16.5-5.6-17.2
53      Other79.7135.176.2185.087.411.960.8132.9-78.0-77.9-10.013.8-17.028.2-8.1-44.01.5-41.5-76.4-67.4
54   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
55   Insurance, pension and standardized guarantee
       schemes
324.6545.1261.0124.2169.4199.7395.7231.7290.6361.4327.2292.0275.2315.6356.6302.0251.7182.2286.8258.8
     (Claim of pension funds on sponsor)
56   Other accounts payable (trade payables)38.338.939.239.338.538.638.538.337.938.338.538.738.438.238.037.738.038.138.338.3
  Addendum:
57Net lending (+) or borrowing (-), financial
    account (lines 29-50)
-602.2-590.5-320.6-280.4-273.3-266.7-308.4-285.6-318.7-322.5-360.3-339.3-312.0-295.0-246.2-236.2-228.2-241.2-287.4-241.5
                       Other changes in volume
                         account
58Total other volume changes-195.4147.8301.767.954.8-270.2164.789.2108.6-38.5-269.6128.6242.2-92.9159.7-48.3200.615.5157.4177.5
59   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-7.60.00.00.00.0
60   Other volume changes-124.4209.8219.294.445.8-276.8108.1134.6130.7-7.1-315.3186.4261.5-71.199.3-2.6216.341.7115.8213.5
61   Less: Statistical discrepancy ((lines
       27-57)/4) (2)
71.062.0-82.526.6-9.0-6.5-56.645.422.131.4-45.857.819.321.8-60.438.115.726.2-41.535.9
                                           
                                              Revaluation account
62Nonfinancial assets66.5-81.5-83.6-6.534.348.439.353.765.7104.7121.1101.372.281.553.418.850.252.759.178.2
63   Structures66.5-80.8-83.2-6.932.947.338.653.165.5103.6120.0100.170.780.552.618.850.651.857.976.3
64   Equipment0.1-0.7-0.40.01.00.70.60.2-0.50.50.60.90.90.60.6-0.2-0.60.40.71.2
65   Intellectual property products-0.10.00.00.50.30.50.10.50.70.60.40.30.60.40.30.10.20.40.40.8
66Equity and investment fund shares-14.820.820.47.07.5-15.214.414.98.0-0.6-20.815.316.3-4.77.4-0.514.13.17.512.7
67Changes in net worth due to nominal holding
    gains/losses
51.7-60.8-63.20.541.833.253.768.773.7104.0100.3116.688.576.860.918.264.355.866.691.0
                    Changes in balance sheet account
68Change in net worth ((lines 23+27)/4 + lines
    58+67) (3)
-202.643.1136.169.537.1-275.5139.5174.1137.246.0-257.8256.3278.9-42.3139.3-17.4222.858.1148.8280.0
                       Balance sheet account (end
                         of period)
69Total assets10,860.710,865.910,856.710,924.211,003.511,052.311,178.811,334.411,416.211,529.811,653.911,818.111,942.112,059.312,173.512,233.812,328.712,378.712,448.612,571.4
70   Nonfinancial assets (4)8,299.08,257.58,213.08,243.08,311.08,395.38,470.68,557.58,653.98,788.28,938.59,068.69,167.29,274.79,352.09,384.79,456.19,530.49,611.29,710.3
71      Structures7,966.67,923.47,876.87,903.67,968.08,049.68,122.88,207.78,302.98,435.28,583.58,711.98,808.68,914.58,990.49,022.99,094.19,166.69,245.39,341.5
72      Equipment237.8238.5239.4240.9242.9244.1245.0245.4244.8245.3245.9246.5246.9247.2247.3246.7245.7246.0246.6247.7
73      Intellectual property products94.595.796.898.5100.0101.6102.8104.4106.1107.7109.1110.2111.7113.1114.2115.2116.4117.8119.3121.2
74   Financial assets2,561.72,608.42,643.82,681.22,692.52,657.02,708.32,776.82,762.42,741.62,715.42,749.52,774.92,784.62,821.52,849.12,872.52,848.32,837.42,861.0
75      Currency and deposits326.3340.5331.9348.2350.3333.7333.9348.0347.9345.4352.1380.5398.8392.4399.6412.7415.3411.3422.5437.9
76         Currency and transferable deposits74.799.585.599.295.395.995.0104.9104.0108.8108.4121.6119.0117.5112.1118.2115.6112.9116.6125.3
77         Time and savings deposits251.6241.0246.4249.1254.9237.8238.9243.1243.9236.6243.7258.9279.8274.9287.5294.5299.7298.4305.9312.6
78      Debt securities1,340.51,347.01,356.81,339.11,361.01,354.91,372.31,394.51,376.01,357.31,343.41,333.51,325.51,338.31,347.31,354.91,353.41,333.11,298.71,291.1
79         Open market paper121.3118.9117.689.6110.8106.6105.0102.898.093.593.690.788.086.285.183.281.478.175.873.4
80         Treasury securities588.6588.8583.7587.6585.8583.9585.6596.0585.7572.2557.9562.2567.2585.1593.7606.7610.7608.7584.1586.7
81         Agency- and GSE-backed securities (1)470.0476.4488.1492.8494.4494.2506.9517.1514.5513.6514.0503.9494.5490.3489.7485.2480.7468.0460.7453.2
82         Municipal securities10.410.811.211.511.812.012.512.913.113.313.313.213.113.213.313.413.513.313.313.3
83         Corporate and foreign bonds150.2152.2156.1157.6158.2158.2162.3165.6164.8164.6164.7163.6162.7163.5165.6166.4167.1165.0164.8164.6
84      Loans310.1312.9319.2320.8320.4318.9325.6330.6327.4325.4325.6324.0322.8324.9329.6331.7333.8330.2330.3330.4
85         Short term125.9125.9127.3126.7125.4123.7125.1125.8123.4121.4121.4121.2121.1122.2124.3125.5126.6125.6126.0126.4
86         Long term (mortgages)184.3187.0191.9194.1195.0195.2200.5204.8204.1204.0204.2202.8201.7202.7205.2206.2207.2204.6204.3204.0
87      Equity and investment fund shares234.4259.6287.4297.9307.3292.9315.3336.9344.5344.4323.7337.7353.0350.2361.8363.2379.3379.2387.0399.8
88         Money market fund shares125.3128.7133.7136.8139.1140.8146.3151.2152.3153.9154.0153.5153.2154.5157.0158.4159.7158.2158.6158.9
89         Corporate equities77.992.5107.8112.4116.8105.3116.2127.0130.8129.1115.4125.0135.3132.5138.6138.6148.4149.3154.1162.4
90         Mutual fund shares31.238.445.948.751.546.852.858.861.461.354.359.264.563.166.266.271.371.774.278.5
91      Other accounts receivable350.4348.4348.5375.2353.6356.6361.3366.9366.6369.2370.5373.7374.9378.8383.2386.5390.7394.5398.9401.9
92         Trade receivables138.2136.9136.6139.1142.6146.1148.4152.2151.9154.3155.4157.8158.2160.4162.1163.1165.2168.5171.1172.6
93         Taxes receivable121.4119.8118.4117.1117.1117.1117.4117.8118.8119.6119.7120.0120.1120.4120.6121.3121.8122.6123.4123.8
94         Other (miscellaneous assets)90.891.793.5119.093.993.495.496.996.095.495.495.996.598.1100.4102.1103.6103.4104.4105.4
95Total liabilities and net worth10,860.710,865.910,856.710,924.211,003.511,052.311,178.811,334.411,416.211,529.811,653.911,818.111,942.112,059.312,173.512,233.812,328.712,378.712,448.612,571.4
96   Liabilities5,140.65,102.74,957.44,955.44,997.65,321.95,308.95,290.35,235.05,302.75,684.55,592.45,437.65,597.05,571.95,649.75,521.75,513.65,434.75,277.5
97      Debt securities (municipals)2,976.43,007.73,024.53,079.73,105.13,097.93,100.83,152.13,133.13,098.03,089.33,103.43,103.23,109.33,102.53,097.03,101.73,085.03,055.83,040.2
98         Short term55.646.361.563.963.947.552.163.060.237.748.152.452.043.455.856.254.539.446.745.3
99         Other2,920.82,961.52,963.03,015.83,041.23,050.43,048.73,089.13,072.93,060.33,041.13,051.03,051.23,065.93,046.83,040.83,047.23,045.63,009.12,994.8
100   Loans (short term)12.913.113.213.513.713.813.914.414.514.715.015.315.415.715.615.716.016.016.116.2
101   Insurance, pension and standardized guarantee
       schemes
1,550.11,471.01,298.91,231.61,238.71,560.41,534.81,454.81,408.91,501.91,882.51,766.31,602.01,745.51,717.81,791.51,649.01,648.21,588.81,437.5
        (Claim of pension funds on sponsor)
102      Other accounts payable (trade payables)601.2610.9620.7630.5640.1649.8659.4669.0678.5688.1697.7707.4717.0726.5736.0745.5754.9764.5774.0783.6
103   Net worth5,720.25,763.35,899.35,968.86,005.95,730.45,869.96,044.16,181.26,227.25,969.46,225.76,504.66,462.26,601.66,584.26,807.06,865.17,013.97,293.9
       Footnotes


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