Integrated Macroeconomic Accounts for the United States Table

S.9.q Rest of the World
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 9/16/2014   Last Revised on June 16, 2014  
 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
1Foreign income from U.S.3,431.03,524.63,501.73,056.52,542.92,490.82,611.62,789.22,888.12,979.13,067.23,137.93,265.53,372.73,390.83,414.73,480.43,456.43,432.33,444.9
2   U.S. imports of goods and services2,561.22,668.82,690.72,304.91,908.91,856.71,993.12,145.32,241.42,336.72,404.02,465.72,584.12,667.72,697.12,730.72,764.22,755.32,723.52,729.5
3   U.S. income payments to rest of world724.2714.2673.2623.6506.3496.7474.0509.0493.0506.7520.8535.7524.2554.2550.1539.7570.0555.7564.4572.8
4   Current taxes and trans. payments to rest of
       world
145.6141.7137.8128.0127.7137.4144.5134.9153.6135.7142.3136.5157.1150.8143.6144.4146.1145.4144.3142.6
5Less: Foreign outlays to U.S.2,722.12,818.32,806.22,453.02,148.22,137.92,231.72,392.32,442.82,518.92,580.82,711.62,802.02,899.92,965.72,948.22,991.43,011.83,011.23,043.5
6   U.S. exports of goods and services1,816.11,918.91,930.11,707.51,519.31,521.51,591.11,703.21,746.41,807.01,860.31,960.42,029.52,095.52,143.42,136.22,173.42,197.42,199.22,213.7
7   U.S. income receipts from rest of world906.0899.4876.1745.5628.9616.3640.5689.0696.5711.9720.5751.2772.5804.5822.3812.0818.0814.4812.0829.8
8Equals: Net saving (current external balance)708.9706.3695.5603.5394.8353.0380.0397.0445.2460.2486.4426.3463.4472.8425.0466.5488.9444.6421.1401.4
                                              
                                                 Capital account
9Net saving708.9706.3695.5603.5394.8353.0380.0397.0445.2460.2486.4426.3463.4472.8425.0466.5488.9444.6421.1401.4
10Less: Net capital transfers-0.4-0.423.8-1.3-0.4-0.5-0.6-0.7-0.5-0.6-1.1-0.5-0.6-3.8-1.6-0.4-0.4-1.4-2.330.3
11Less: Acquisition of nonproduced nonfinancial
    assets
0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-0.20.00.00.00.0
12Net lending (+) or borrowing (-), capital
    account (lines 9-10-11)
709.3706.8671.7604.9395.2353.5380.5397.7445.8460.7487.5426.8464.0476.6426.7467.2489.3445.9423.4371.1
                                         Financial
                                           account
13Net lending (+) or borrowing (-) (line 12)709.3706.8671.7604.9395.2353.5380.5397.7445.8460.7487.5426.8464.0476.6426.7467.2489.3445.9423.4371.1
14Net acquisition of U.S. financial assets1,059.7631.8237.1351.0-815.8236.2932.9592.8723.41,289.31,299.01,475.51,912.41,564.4658.7298.2773.0183.2558.11,272.9
15   Monetary gold and SDRs0.00.00.00.00.00.0190.40.00.00.00.00.00.00.00.00.00.00.00.00.0
16      Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
17      SDR allocations0.00.00.00.00.00.0190.40.00.00.00.00.00.00.00.00.00.00.00.00.0
18   Currency and deposits-433.8-25.3618.91,831.8-634.9-630.2368.7-240.7-84.1-43.0-174.8208.71,203.737.1333.1-201.9168.7143.3-91.1-343.3
19      Currency-27.00.923.4119.447.3-7.716.7-5.79.18.442.153.850.356.038.575.372.228.564.663.2
20      Transferable deposits12.4-14.336.5104.7-72.3-6.4-15.26.62.54.0-9.07.233.122.238.413.6-13.88.828.421.2
21      Time deposits63.4-18.360.2208.7-207.1-58.5-41.414.0-17.718.6-20.655.784.970.322.211.5-42.935.267.588.7
22      Net interbank items due from U.S. banks-482.66.5498.81,399.0-402.8-557.6408.5-255.6-78.0-74.1-187.292.11,035.4-111.4234.1-302.3153.270.8-251.7-516.4
23   Debt securities503.3873.4126.5184.3252.3252.5-24.5189.6373.0531.01,125.0546.5268.5398.2301.4-145.3621.221.5723.3641.5
24      Open market paper11.0-16.0-94.1-81.5-51.8-76.1-8.3-29.310.2-26.818.9-4.533.1-16.821.0-34.346.2-57.55.219.9
25      Treasury securities391.3504.2876.41,074.4728.6612.8379.6496.8600.7600.71,151.8608.2327.4554.4414.0135.6693.6505.8600.3558.4
26      Agency- and GSE-backed securities (1)92.399.4-398.4-707.8-275.3-86.6-317.6-224.6-153.345.8-91.8-89.8-48.2-59.5-19.1-39.4-4.8-184.626.8-124.6
27      Municipal securities12.712.7-0.9-0.9-0.9-0.916.316.316.316.39.99.99.99.9-12.7-12.75.0-6.010.4-19.1
28      Corporate bonds-3.9273.0-256.5-100.0-148.4-196.7-94.4-69.6-100.9-105.036.222.7-53.7-89.7-101.8-194.5-118.8-236.280.6206.8
29   Loans (short term)-86.0-529.5-441.3-1,443.3-102.2-3.8-98.1-142.6178.6-140.6186.7-8.5271.7221.5-159.2294.6-196.0-160.858.599.6
30      Security repurchases-34.4-468.5-405.4-1,413.214.5-2.9-56.2-126.4135.2-85.7240.76.6225.5169.0-205.8304.5-120.8-120.793.0158.8
31      Loans to U.S. corporate business-51.6-61.0-35.9-30.2-116.8-0.9-42.0-16.243.4-55.0-54.1-15.146.252.546.6-9.9-75.2-40.0-34.5-59.2
32   Equity and investment fund shares631.7419.9296.1399.851.1320.5562.2545.1407.5260.8492.9378.0287.7380.1340.7447.3404.7312.8268.9607.5
33      Money market fund shares28.728.718.718.718.718.7-4.3-4.4-4.3-4.4-9.9-9.9-9.9-9.9-1.0120.448.53.813.714.9
34      Corporate equities225.095.351.351.654.0150.8241.2173.5159.625.653.160.016.615.7123.6-310.72.0-289.493.4313.5
35      Mutual fund shares23.829.4-24.8-39.2-12.330.0105.9105.2105.4117.0119.6103.8149.3132.0-26.1334.8211.1400.36.5110.0
36      Foreign direct investment in the United
          States
354.2266.5251.0368.7-9.3121.0219.4270.7146.8122.5330.1224.0131.7242.3244.2302.8143.0198.1155.4169.2
37   Other accounts receivable444.6-106.7-363.2-621.6-382.1297.2-65.7241.4-151.6681.2-330.7350.8-119.2527.6-157.3-96.4-225.6-133.6-401.5267.6
38      Trade receivables43.923.67.5-49.2-7.014.434.4-15.333.925.11.118.96.410.351.42.815.98.226.4-4.7
39      Other (miscellaneous assets)400.7-130.4-370.7-572.4-375.1282.8-100.1256.7-185.5656.1-331.9331.9-125.6517.3-208.7-99.2-241.5-141.9-428.0272.3
40Net incurrence of liabilities220.08.8-509.8-385.7-869.5164.5784.9-57.3414.91,159.5354.21,107.11,079.9995.3-20.6177.1-281.3112.1446.5724.7
41   SDR holdings0.10.10.10.10.10.0190.91.90.00.00.00.0-7.80.60.10.10.00.00.00.0
42   Currency and deposits-444.4-364.1-390.3-359.2-266.5-87.338.3-110.7-320.5129.748.2112.8221.824.7-25.9-335.6-56.1-98.5144.3-92.9
43      Official foreign exchange1.41.21.60.90.90.60.80.50.70.30.50.4-3.40.50.60.50.60.40.30.3
44      Net IMF position-0.43.8-1.011.53.013.94.4-7.92.30.33.8-1.325.723.915.67.14.312.73.0-3.9
45      U.S. private deposits-445.5-369.1-390.7-371.8-270.2-102.033.1-103.9-323.5128.543.6114.0199.7-0.9-42.3-341.9-60.9-111.7141.0-89.1
46      Nonofficial foreign currencies0.2-0.1-0.20.2-0.20.30.00.60.00.60.2-0.4-0.31.10.2-1.3-0.10.00.1-0.3
47   Debt securities187.910.9-643.4-474.7213.2229.1297.6150.998.6-81.6103.7108.2351.2148.3-107.1-55.3-16.9-139.1211.6304.9
48      Commercial paper212.041.7-276.4-261.564.6-6.6185.5-6.1-24.9-55.613.955.8120.2-51.9-256.4-25.932.9-54.278.454.5
49      Bonds-24.1-30.8-367.1-213.2148.5235.7112.1157.0123.5-26.089.852.5231.0200.2149.2-29.5-49.8-84.9133.2250.5
50   Loans (short term)291.6-206.8787.0-163.8-645.8-837.2-33.0-493.4336.9304.6247.4-31.660.6258.857.4487.0-162.417.7-45.6129.6
51      Security repurchases253.3-356.3-140.4-1,222.0342.8-28.2206.0-297.9371.0281.7222.1-73.6-8.1228.21.964.314.927.6-2.4118.7
52      Other loans and advances-2.0-2.1-0.8-1.3-1.50.90.01.81.5-1.10.10.50.5-1.50.66.07.64.30.210.5
53      Depository institution loans n.e.c.52.3-12.423.1-2.4-11.8-28.6-7.7-11.35.519.129.941.468.632.152.919.328.559.918.315.0
54      Nonoff. foreign currencies (swap lines)-12.0164.0905.11,061.9-975.2-781.3-231.3-185.9-41.15.0-4.70.1-0.30.02.0397.3-213.4-74.1-61.7-14.6
55   Equity and investment fund shares460.9360.776.4233.3287.5499.9492.8316.8458.6223.0480.2410.8447.8794.0357.1193.9571.6450.6398.3266.5
56      Corporate equities72.150.0-94.6-181.8-2.6141.0104.911.445.289.067.6114.8107.925.68.2-117.540.7176.671.541.5
57      U.S. government equity in IBRD, etc.0.44.30.50.30.65.20.30.61.95.31.30.82.35.81.70.41.57.01.00.3
58      U.S. direct investment abroad368.8380.6266.8300.1291.6263.7345.8340.5380.3264.5333.4226.1392.7505.1295.0443.1452.2344.8374.5381.7
59      Investment by holding companies19.6-74.2-96.4114.7-2.090.041.8-35.731.2-135.977.969.2-55.1257.552.1-132.177.3-77.8-48.7-156.9
60   Other accounts payable-276.2208.0-339.5378.6-457.9360.1-201.777.2-158.8583.7-525.2506.86.4-231.1-302.2-112.9-617.6-118.5-262.2116.5
61      Trade payables-10.4-4.5-6.8-17.6-1.723.441.3-38.530.317.231.524.2-8.1-59.1-22.7-38.715.54.5-2.27.4
62      Other (miscellaneous liabilities)-265.8212.6-332.7396.2-456.2336.7-243.0115.6-189.1566.5-556.8482.614.5-172.0-279.5-74.2-633.1-123.1-260.0109.1
  Addendum:
63Net lending, financial account (lines 14-40)839.8623.0746.9736.753.771.7148.0650.1308.5129.8944.8368.4832.5569.1679.3121.11,054.271.1111.7548.2
                       Other changes in volume
                         account
64Total other volume changes16.3-23.910.360.8-92.5-76.2-62.980.8-39.6-91.1107.55.983.912.956.9-61.8134.4-102.0-83.464.9
65   Other volume changes0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
66   Less: Statistical discrepancy (lines
       12-63)/4) (2)
-16.324.0-10.3-60.792.576.262.9-80.839.691.1-107.5-5.9-83.9-12.9-56.961.9-134.4102.083.4-64.9
                                           
                                              Revaluation account
67   Financial assets4.7-285.2-587.6-514.3-557.8406.2542.27.8109.8-276.0486.3138.1271.098.8-291.9425.8447.35.0292.4-85.2
68      SDR allocations0.3-0.1-0.4-0.1-0.20.30.8-0.6-1.7-1.42.7-0.61.60.5-1.4-0.90.5-1.10.9-0.2
69      Debt securities102.1-179.7-221.4173.4-158.296.7201.7-64.016.797.5199.3-168.7-10.4108.1184.516.1-18.390.679.2-24.4
70         Treasury securities59.7-64.128.2141.1-44.8-75.025.3-42.49.594.343.8-99.8-33.247.7169.26.4-67.374.3-1.3-28.4
71         Agency- and GSE-backed securities33.6-27.5-4.151.2-12.2-19.110.4-5.15.214.11.0-18.9-8.725.722.3-1.2-19.06.17.612.9
72         Corporate bonds8.8-88.2-245.5-18.9-101.2190.7166.0-16.52.0-11.0154.6-50.131.534.7-7.110.968.010.272.9-9.0
73      Equity and investment fund shares-318.9-97.4-309.7-758.6-311.1291.3350.385.8175.9-355.1314.8333.2222.024.9-461.3410.9446.7-110.1205.0-58.2
74         Corporate equities-263.0-76.7-213.7-556.6-227.2271.4319.7150.8145.0-324.8282.7308.1190.74.3-415.7407.5389.9-91.3162.6-58.8
75         Mutual fund shares-27.0-3.3-35.4-50.3-15.626.130.410.39.8-33.132.029.518.3-2.6-67.836.259.5-31.532.39.3
76         Foreign direct investment in the United
             States
-28.9-17.3-60.7-151.7-68.3-6.30.1-75.221.12.90.1-4.513.023.222.3-32.8-2.712.610.1-8.7
77      Other accounts receivable (miscellaneous
          assets)
221.3-8.0-56.171.0-88.318.0-10.6-13.5-81.0-17.0-30.6-25.757.7-34.6-13.8-0.318.425.77.3-2.4
78   Liabilities-231.955.7-1,242.2-789.1-269.8837.8834.1188.518.5-452.6891.9395.9245.2138.0-1,053.4228.3522.5-408.2505.4343.7
79      SDR holdings0.4-0.1-0.5-0.1-0.30.30.8-0.6-1.8-1.52.9-0.61.70.5-1.4-0.90.5-1.10.9-0.2
80      Currency and deposits4.5-1.2-3.62.8-3.42.63.0-1.5-2.2-1.74.60.11.6-2.3-4.2-2.6-1.5-3.90.5-1.7
81         Official foreign currencies4.4-1.2-3.42.7-3.22.12.7-1.4-1.8-1.44.00.31.21.3-1.2-1.0-0.9-0.71.0-1.7
82         Reserve position in IMF (net)0.20.0-0.20.0-0.20.40.3-0.1-0.4-0.30.6-0.10.4-3.6-3.0-1.6-0.7-3.1-0.50.0
83         U.S. private deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
84         Nonofficial foreign currencies0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
85      Debt securities (corporate bonds)34.5-70.3-112.1-43.1-24.291.0101.51.521.85.4106.8-32.918.239.00.912.733.07.272.226.0
86      Equity and investment fund shares-492.6-74.4-1,099.6-928.1-252.1713.9665.973.922.0-438.1769.8367.2234.570.3-935.9206.8502.1-395.1427.9298.0
87         Corporate equities-479.1-97.7-1,042.0-842.2-290.8670.0647.7156.3128.4-422.7724.3395.7240.625.9-917.5246.2527.2-367.1373.6272.9
88         U.S. direct investment abroad-13.523.3-57.6-85.938.743.918.2-82.4-106.4-15.545.5-28.5-6.044.4-18.4-39.4-25.1-28.154.325.1
89      Nonofficial foreign currencies0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
90      Other accounts payable (miscellaneous
          liabilities)
221.3201.6-26.5179.410.130.162.9115.2-21.3-16.67.862.1-10.830.5-112.912.3-11.5-15.33.921.5
91Changes in net worth due to nominal holding
    gains/losses
236.6-340.8654.6274.8-288.0-431.6-291.9-180.791.3176.6-405.6-257.825.7-39.2761.5197.5-75.3413.3-213.0-428.9
                    Changes in balance sheet account
92Change in net worth ((line 12)/4 + lines 64+91)
    (3)
430.3-188.1832.8486.7-281.8-419.4-259.7-0.5163.1200.7-176.3-145.2225.692.9925.1252.5181.5422.8-190.6-271.2
                 Financial balance sheet account
                   (end of period) (4)
93Total financial assets16,548.716,321.015,872.315,386.114,717.015,053.515,929.916,021.016,406.316,307.817,241.317,676.018,527.418,857.818,865.919,288.120,034.219,921.920,494.120,644.3
94   SDR allocations8.18.07.67.57.37.656.055.453.652.255.054.456.056.555.254.254.753.654.554.3
95   Currency and deposits418.3412.0566.71,024.7866.0708.4800.6740.4719.4708.6664.9717.11,018.01,027.31,110.61,060.11,102.21,138.01,115.31,029.4
96      Currency265.2265.4271.3301.1313.0311.0315.2313.8316.0318.1328.7342.1354.7368.7378.3397.1415.1422.3438.4454.2
97      Transferable deposits37.333.742.869.050.949.345.547.247.848.846.648.456.662.271.875.271.873.981.186.3
98      Time deposits304.1299.5314.5366.7314.9300.3290.0293.5289.0293.7288.6302.5323.7341.3346.8349.7339.0347.8364.6386.8
99      Net interbank items due from U.S. banks-188.2-186.6-61.9287.9187.247.8149.986.066.548.01.224.2283.0255.2313.7238.1276.4294.1231.2102.1
100   Debt securities7,251.67,259.17,068.47,297.37,229.77,355.47,554.77,541.07,682.37,876.18,364.38,329.68,419.78,590.78,861.68,833.59,005.29,066.39,339.39,462.4
101      Open market paper280.8276.8253.3232.9220.0200.9198.9191.5194.1187.4192.1191.0199.3195.1200.3191.7203.3188.9190.2195.2
102      Treasury securities2,556.52,587.52,833.93,253.03,417.83,462.03,585.93,670.63,861.74,069.74,409.24,458.84,540.94,690.64,974.45,006.95,147.65,313.55,475.45,573.8
103      Agency- and GSE-backed securities (1)1,639.11,636.41,532.71,406.91,325.91,285.21,216.21,154.91,121.81,147.31,125.31,084.01,063.31,074.11,091.61,080.61,060.41,020.31,034.61,016.4
104      Municipal securities48.251.451.251.050.750.554.658.762.766.869.371.774.276.773.570.371.670.172.767.9
105      Corporate bonds2,726.92,707.02,397.42,353.52,215.22,356.82,499.22,465.32,442.02,404.82,568.42,524.02,542.02,554.32,521.82,484.02,522.32,473.52,566.52,609.2
106   Loans (short term)1,434.21,306.91,194.9849.7815.7796.5771.3744.0780.9750.5797.2798.0863.3923.5883.9959.3904.5868.8883.7909.6
107      Security repurchases1,184.51,067.4966.1623.3626.9603.2589.1561.5595.3573.9634.1635.8696.2738.5687.0763.1732.9702.7726.0765.7
108      Loans to U.S. corporate business249.7239.5228.9226.4188.8193.4182.1182.5185.6176.6163.1162.3167.1185.1196.9196.1171.6166.0157.7143.9
109   Equity and investment fund shares5,417.75,428.25,196.24,529.84,234.84,608.55,103.25,315.95,597.25,309.85,753.86,169.46,465.56,587.46,216.06,729.97,279.07,247.97,523.77,611.8
110      Money market fund shares53.160.365.069.774.479.178.076.975.874.772.269.867.364.864.679.591.692.696.099.7
111      Corporate equities2,604.62,551.72,350.81,807.11,593.41,902.52,282.62,476.72,661.62,343.22,639.22,962.23,157.03,165.22,780.43,035.33,425.73,262.13,448.03,467.6
112      Mutual fund shares353.3357.3315.7255.6237.0270.6327.5364.1400.3396.4458.3513.8569.4599.8525.5735.6847.8916.4950.4987.1
113      Foreign direct investment in the United
          States
2,406.72,458.92,464.72,397.42,330.12,356.32,415.22,398.22,459.62,495.62,584.22,623.62,671.82,757.52,845.52,879.52,913.82,976.83,029.33,057.3
114   Other accounts receivable2,018.81,906.81,838.41,677.11,563.51,577.11,644.31,624.41,572.91,610.61,606.11,607.51,704.91,672.41,738.71,651.11,688.61,547.31,577.81,576.8
115      Trade receivables94.6100.5102.490.188.391.9100.596.7105.2111.4111.7116.4118.0120.6133.5134.2138.1140.2146.8145.6
116      Other (miscellaneous assets)1,924.31,806.31,736.11,587.01,475.21,485.21,543.71,527.71,467.81,499.21,494.41,491.11,586.81,551.81,605.21,517.01,550.51,407.11,431.01,431.1
117Total liabilities and net worth16,548.716,321.015,872.315,386.114,717.015,053.515,929.916,021.016,406.316,307.817,241.317,676.018,527.418,857.818,865.919,288.120,034.219,921.920,494.120,644.3
118   Total liabilities14,033.213,993.712,712.211,739.211,351.812,107.813,243.813,335.413,557.613,258.414,368.214,948.015,573.815,811.414,894.315,064.015,628.715,093.615,856.416,277.8
119      SDR holdings9.99.89.49.39.19.457.957.856.054.657.456.856.557.255.955.055.554.355.255.1
120      Currency and deposits1,284.91,192.61,091.41,004.4934.4915.1927.7898.5816.2846.9863.6891.9949.0952.9942.2855.6840.1811.6848.1823.2
121         Official foreign currencies50.549.646.649.646.648.951.850.548.947.651.752.152.453.852.851.951.150.551.649.9
122         Reserve position in IMF (net)4.35.24.87.78.212.113.511.411.611.412.912.519.321.722.722.823.223.223.522.6
123         U.S. private deposits1,229.61,137.31,039.6946.7879.1853.6861.9835.9755.1787.2798.1826.6876.5876.3865.7780.3765.0737.1772.3750.1
124         Nonofficial foreign currencies0.50.50.40.50.40.50.50.70.70.80.90.80.71.01.00.70.70.70.70.7
125      Debt securities2,075.82,008.11,734.81,579.31,595.01,749.61,926.01,971.72,010.52,000.22,129.12,129.92,235.52,313.52,287.12,285.02,323.12,303.92,418.82,513.7
126         Commercial paper460.3470.6401.1342.0344.8349.5396.4401.3387.5378.3378.0398.6428.2417.2352.5345.1362.6357.4366.7373.0
127         Bonds1,615.51,537.61,333.71,237.31,250.21,400.11,529.61,570.31,623.01,621.91,751.11,731.31,807.31,896.41,934.61,939.91,960.51,946.52,052.02,140.7
128      Loans (short term)1,132.31,080.61,277.01,236.11,074.6831.8823.6700.2785.9862.1923.9916.0935.81,000.51,014.81,136.61,099.31,103.71,094.71,127.1
129         Security repurchases938.0849.0813.9508.4594.1553.5605.0530.5624.3694.7750.2731.8734.4791.5791.9808.0811.7818.6818.0847.7
130         Other loans and advances22.922.421.921.621.221.421.421.922.222.022.022.122.221.922.023.526.727.830.232.8
131         Depository institution loans n.e.c.150.3147.2153.0152.4149.4142.3140.4137.5139.4144.2151.6162.0179.1187.1200.4205.2214.4229.3233.9237.7
132         Nonoff. foreign currencies (swap lines)21.062.0288.3553.7309.9114.656.810.30.01.20.10.10.00.00.599.846.528.012.68.9
133      Equity and investment fund shares8,598.68,620.37,552.16,646.86,477.17,323.88,121.68,247.78,393.38,021.78,924.49,361.79,718.69,999.69,164.09,385.710,038.79,765.410,301.810,640.3
134         Corporate equities4,786.94,701.73,636.12,748.42,457.03,162.23,836.23,995.34,135.03,734.64,475.84,900.25,167.85,200.04,284.64,501.45,038.84,715.85,107.35,390.5
135         U.S. government equity in IBRD, etc.47.048.148.248.348.449.749.850.050.451.852.152.352.954.354.754.955.257.057.257.3
136         U.S. direct investment abroad3,649.23,773.53,794.93,748.53,870.63,988.44,101.74,077.44,074.94,136.44,278.24,273.64,376.14,559.04,625.34,663.14,759.14,826.44,983.45,077.8
137         Investment by holding companies115.597.072.9101.5101.0123.5134.0125.1132.998.9118.3135.6121.9186.2199.3166.3185.6166.1154.0114.7
138      Other accounts payable931.71,082.21,047.41,263.31,261.61,277.91,387.01,459.51,495.71,473.01,469.71,591.61,678.41,487.71,430.41,346.21,272.11,054.81,137.81,118.5
139         Trade payables70.569.367.663.262.868.679.069.376.981.289.195.193.178.372.763.066.968.067.469.3
140         Other (miscellaneous liabilities)861.31,012.9979.81,200.11,198.81,209.31,308.01,390.21,418.81,391.81,380.61,496.51,585.21,409.31,357.71,283.21,205.3986.81,070.41,049.2
141   Net worth (external account)2,515.52,327.43,160.23,646.93,365.22,945.82,686.12,685.62,848.73,049.42,873.12,728.02,953.63,046.53,971.64,224.04,405.54,828.34,637.74,366.5
       Footnotes


Page creation time = 2.304688 Seconds on SERVER B - page last updated 2-19-14