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: 11/23/2014   Last Revised on September 23, 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
1Foreign income from U.S.2,542.12,496.82,621.22,795.62,888.22,978.03,067.13,147.83,286.83,403.03,413.23,415.13,490.13,481.33,456.03,453.43,466.73,500.03,503.13,509.3
2   U.S. imports of goods and services1,913.41,864.52,002.02,152.92,241.92,337.32,404.92,475.92,595.82,695.32,715.32,739.12,777.12,781.12,745.02,746.72,747.42,768.42,778.32,787.5
3   U.S. income payments to rest of world507.5497.9475.4510.6493.0506.7520.8535.7537.0560.1555.8531.1565.5555.9570.7573.7582.4589.5583.4588.9
4   Current taxes and trans. payments to rest of
       world
121.3134.4143.8132.1153.2134.0141.5136.1154.0147.6142.1144.9147.4144.3140.3133.0136.8142.1141.4132.9
5Less: Foreign outlays to U.S.2,155.42,145.32,251.32,394.52,449.82,526.02,590.42,723.22,798.42,899.52,954.22,943.92,966.42,978.82,989.03,017.73,010.73,040.83,082.63,156.4
6   U.S. exports of goods and services1,519.51,522.71,596.41,712.31,753.21,814.01,869.81,972.22,033.32,108.32,142.92,141.02,162.42,192.52,203.22,218.52,219.42,236.42,268.42,324.6
7   U.S. income receipts from rest of world635.9622.6654.9682.2696.6712.0720.5751.0765.1791.2811.4802.9804.1786.3785.7799.3791.2804.4814.2831.8
8Equals: Net saving (current external balance)386.7351.5369.8401.1438.3451.9476.8424.6488.4503.4459.0471.2523.7502.5467.0435.7456.0459.2420.5352.9
                                              
                                                 Capital account
9Net saving386.7351.5369.8401.1438.3451.9476.8424.6488.4503.4459.0471.2523.7502.5467.0435.7456.0459.2420.5352.9
10Less: Net capital transfers-0.4-0.5-0.6-0.7-0.5-0.6-1.1-0.5-0.6-3.9-1.6-0.4-0.4-1.4-2.330.2-0.6-1.3-1.0-0.4
11Less: Acquisition of nonproduced nonfinancial
    assets
0.00.00.00.00.00.00.00.00.00.00.00.0-0.20.00.00.00.00.00.00.0
12Net lending (+) or borrowing (-), capital
    account (lines 9-10-11)
387.2352.0370.4401.8438.8452.5477.9425.1489.0507.3460.6471.6524.3503.9469.3405.4456.6460.5421.5353.3
                                         Financial
                                           account
13Net lending (+) or borrowing (-) (line 12)387.2352.0370.4401.8438.8452.5477.9425.1489.0507.3460.6471.6524.3503.9469.3405.4456.6460.5421.5353.3
14Net acquisition of U.S. financial assets-377.5-9.6902.4288.61,060.5626.41,578.71,084.52,157.61,021.5755.7264.11,015.5398.8985.7931.61,363.11,434.2952.8932.2
15   Monetary gold and SDRs0.00.0190.40.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
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 allocations0.00.0190.40.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
18   Currency and deposits-634.3-631.4368.9-240.5-84.3-42.6-174.1191.11,204.236.8333.4-202.1168.7145.0-90.1-343.3392.41,194.38.2-16.4
19      Currency47.3-7.716.7-5.79.18.442.153.850.356.038.575.372.228.564.663.219.837.950.742.4
20      Transferable deposits-72.3-6.4-15.26.62.54.0-9.07.233.122.238.413.6-13.88.828.121.0-8.7-4.838.923.2
21      Time deposits-206.6-59.7-41.114.2-17.819.1-19.938.185.470.122.411.4-42.937.068.888.9-0.827.780.393.2
22      Net interbank items due from U.S. banks-402.8-557.6408.5-255.6-78.0-74.1-187.292.11,035.4-111.4234.1-302.3153.270.8-251.7-516.4382.01,133.5-161.6-175.2
23   Debt securities285.2315.9-135.1175.7438.3547.81,057.4514.0352.7423.8204.0-166.2655.560.0676.2591.1590.0166.8504.7957.0
24      Open market paper-52.9-60.2-47.4-33.1-16.0-33.814.5-7.664.0-1.9-20.5-38.531.7-60.520.77.726.16.4-86.848.5
25      Treasury securities762.8660.3308.0486.7652.3624.51,088.6596.0380.7565.1357.2118.1734.0533.8564.7526.5581.3108.0225.0810.7
26      Agency- and GSE-backed securities (1)-275.3-86.6-317.6-224.6-113.345.9-91.8-107.0-48.2-59.5-19.1-39.43.6-184.822.5-135.7-157.4-134.289.5-136.6
27      Municipal securities-0.9-0.916.316.316.316.39.99.99.99.9-12.7-4.5-2.8-5.61.74.43.13.95.74.6
28      Corporate bonds-148.4-196.7-94.4-69.6-100.9-105.036.222.7-53.7-89.7-100.9-201.8-110.9-222.866.5188.2136.8182.7271.3229.8
29   Loans (short term)-72.9-28.3-117.6-176.1266.3-165.2203.7-16.2274.5171.4-172.6232.6-199.0-145.678.730.7284.9-53.7-39.842.9
30      Security repurchases40.5-22.8-75.7-161.2220.0-103.0257.0-4.6227.0128.3-221.4236.6-124.8-93.2109.182.6272.4-67.311.032.4
31      Loans to U.S. corporate business-113.4-5.5-42.0-14.946.3-62.2-53.3-11.647.643.248.7-4.0-74.2-52.4-30.4-52.012.513.6-50.810.5
32   Equity and investment fund shares51.1320.5562.2545.1407.5260.8492.9378.0320.5379.3340.0397.8374.7330.7294.9656.986.1114.8468.7-66.1
33      Money market fund shares18.718.7-4.3-4.4-4.3-4.4-9.9-9.9-9.9-9.919.119.119.119.126.126.126.126.10.512.9
34      Corporate equities75.4177.0293.3225.2211.482.8109.0108.287.377.370.0-58.4118.8-85.196.1377.4-56.3-141.0280.7-382.6
35      Mutual fund shares-33.73.953.953.553.659.963.855.778.670.3-13.3163.3118.6188.91.350.1-60.0-15.9-33.91.8
36      Foreign direct investment in the United
          States
-9.3121.0219.4270.7146.8122.5330.1224.0164.6241.5264.2274.0118.3207.9171.4203.4176.3245.6221.4301.8
37   Other accounts receivable-6.513.733.6-15.632.725.5-1.317.65.610.150.92.015.68.626.0-3.89.812.010.914.7
38Net incurrence of liabilities-270.969.81,102.9-209.9730.7651.7985.0909.7989.31,068.4249.2225.3162.0129.3832.9421.01,163.7770.2913.5431.5
39   SDR holdings0.10.0190.91.90.00.00.00.0-7.80.60.10.10.00.00.00.00.00.00.00.0
40   Currency and deposits-142.6195.9258.0-470.6-210.9169.7169.6165.1216.0-357.7-138.4-509.3-120.6-352.7106.8-191.9208.5165.5-8.2-247.4
41      Official foreign exchange0.90.60.80.50.70.30.50.4-3.40.50.60.50.60.40.30.30.50.40.30.2
42      Net IMF position3.013.94.4-7.92.30.33.8-1.325.723.915.67.14.312.73.0-3.93.0-1.1-4.3-11.3
43      U.S. private deposits-146.5181.5252.8-463.1-213.9169.0165.2165.9193.7-382.1-154.6-516.9-125.5-365.8103.5-188.3205.0166.3-4.2-236.2
44      Nonofficial foreign currencies0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
45   Debt securities89.6230.7197.3428.8151.8-80.986.2341.7272.3339.6-135.336.3-74.415.7325.6343.3346.2122.4157.1287.8
46      Commercial paper64.6-6.6185.5-6.1-24.9-55.613.955.8120.2-51.9-256.4-25.932.9-54.278.454.5120.713.7-26.628.1
47      Bonds25.0237.311.7434.9176.6-25.372.3286.0152.1391.5121.062.1-107.269.9247.2288.9225.6108.7183.7259.7
48   Loans (short term)-516.8-843.9-32.4-494.1335.9327.5251.2-26.464.0286.0122.6490.3-186.246.3-24.4106.4-53.5-167.6222.6-208.4
49      Security repurchases472.0-35.2206.5-299.2370.1304.0225.7-68.0-4.5254.366.868.9-8.956.218.795.8-82.5-170.7182.7-263.6
50      Other loans and advances-1.71.10.12.41.4-0.50.30.10.2-0.40.84.87.64.30.310.3-0.93.73.6-0.8
51      Depository institution loans n.e.c.-11.8-28.6-7.7-11.35.519.129.941.468.632.152.919.328.559.918.315.033.324.941.057.0
52      Nonoff. foreign currencies (swap lines)-975.2-781.3-231.3-185.9-41.15.0-4.70.1-0.30.02.0397.3-213.4-74.1-61.7-14.6-3.3-25.5-4.7-1.0
53   Equity and investment fund shares287.5499.9492.8316.8458.6223.0480.2410.8464.7801.1366.3204.7554.0413.6425.7155.3669.3634.4542.2594.5
54      Corporate equities-2.6141.0104.911.445.289.067.6114.8111.525.68.2-117.575.5219.3130.1-11.9269.2371.378.7381.8
55      U.S. government equity in IBRD, etc.0.65.20.30.61.95.31.30.82.35.81.70.41.57.01.00.30.18.30.10.3
56      U.S. direct investment abroad291.6263.7345.8340.5380.3264.5333.4226.1405.9512.2304.2453.9399.8265.1343.3323.8310.1400.8356.9330.4
57      Investment by holding companies-2.090.041.8-35.731.2-135.977.969.2-55.1257.552.1-132.177.3-77.8-48.7-156.989.8-146.0106.5-118.0
58   Other accounts payable11.4-12.9-3.57.2-4.712.5-2.118.4-19.9-1.333.93.3-10.86.4-0.77.9-6.715.4-0.25.0
  Addendum:
59Net lending (+) or borrowing (-), financial
    account (lines 14-38)
-106.6-79.3-200.5498.6329.8-25.3593.6174.81,168.3-46.9506.538.8853.5269.5152.8510.6199.4664.039.3500.7
                       Other changes in volume
                         account
60Total other volume changes-134.0-144.0-139.482.1-36.2-165.333.8-14.1164.3-181.414.6-67.280.0-103.8-79.468.4-59.44.8-86.274.4
61   Other volume changes0.010.50.04.0-1.50.00.00.0-0.50.00.0-3.7-3.40.0-2.30.00.01.74.10.0
62   Less: Statistical discrepancy (lines
       12-59)/4) (2)
134.0154.5139.4-78.134.7165.3-33.814.1-164.8181.4-14.663.5-83.4103.877.1-68.459.4-3.190.2-74.4
                                           
                                              Revaluation account
63   Financial assets-472.3387.5547.018.7179.6-256.7517.5163.9180.7100.8-296.8182.5432.4-23.2307.5-111.6432.3-135.3225.9457.0
64      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
65      Currency and deposits0.00.10.00.00.00.0-0.14.30.10.00.10.00.0-0.30.10.0-0.70.00.00.0
66      Debt securities-160.995.7195.7-66.65.5100.0199.9-173.0-11.6109.5185.110.5-22.890.577.9-25.2-41.7-219.93.3-69.1
67         Open market paper-0.20.20.2-0.1-0.2-0.30.6-4.30.20.1-0.3-0.10.10.10.1-0.10.50.0-0.10.0
68         Treasury securities-44.8-75.025.3-42.49.594.343.8-99.8-33.247.7170.55.2-67.274.2-1.3-28.4-21.3-108.9-19.1-58.6
69         Agency- and GSE-backed securities-14.1-13.69.5-7.9-4.519.67.7-10.5-4.49.619.7-0.9-6.14.72.2-4.2-4.5-19.7-0.4-6.6
70         Corporate bonds-101.7184.1160.7-16.20.7-13.7147.8-58.425.852.0-4.76.350.411.577.07.4-16.4-91.322.9-3.9
71      Equity and investment fund shares-311.1291.3350.385.8175.9-355.1314.8333.2190.5-9.2-480.4173.0454.7-112.2228.6-86.2475.284.1222.7525.8
72         Corporate equities-234.8284.5334.9155.9149.9-341.3298.5322.7199.73.0-447.8188.4419.0-108.2199.6-81.4454.3105.2215.9510.0
73         Mutual fund shares-8.013.015.25.24.9-16.616.114.99.3-1.3-34.518.230.2-15.916.34.823.33.722.226.9
74         Foreign direct investment in the United
             States
-68.3-6.30.1-75.221.12.90.1-4.5-18.5-10.92.0-33.65.511.812.7-9.6-2.4-24.8-15.4-11.1
75      Other accounts receivable-0.10.20.20.00.0-0.20.20.00.20.1-0.20.00.1-0.10.10.00.80.3-1.20.0
76   Liabilities-269.9806.5772.672.138.8-462.6887.3333.7157.8125.2-950.8-41.1486.2-395.0467.1335.459.1-212.1546.2292.0
77      SDR holdings-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
78      Currency and deposits-3.81.83.6-1.5-2.3-27.54.50.1-13.21.5-10.4-0.6-0.1-1.41.5-1.9-3.3-0.62.1-1.4
79         Official foreign currencies-3.12.12.8-1.5-1.8-1.44.00.20.21.3-1.20.0-0.8-0.71.0-1.7-2.5-0.71.3-0.7
80         Reserve position in IMF (net)-0.20.40.3-0.1-0.4-0.30.6-0.10.40.2-0.6-0.50.3-0.70.6-0.1-0.90.10.70.1
81         U.S. private deposits-0.5-0.70.50.0-0.2-25.7-0.20.0-13.80.0-8.5-0.10.50.00.00.00.00.00.1-0.8
82         Nonofficial foreign currencies0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
83      Debt securities (corporate bonds)-13.690.3102.20.421.04.6109.9-33.03.539.0-0.512.243.516.071.817.0-39.8-90.94.9-4.8
84      Equity and investment fund shares-252.1713.9665.973.922.0-438.1769.8367.2165.784.0-938.4-51.8442.3-408.5392.8320.6102.7-121.1539.5298.0
85         Corporate equities-290.8670.0647.7156.3128.4-422.7724.3395.7231.938.5-919.72.1481.8-390.0339.5275.6145.5-108.4508.8311.5
86         U.S. direct investment abroad38.743.918.2-82.4-106.4-15.545.5-28.5-66.145.5-18.7-53.9-39.5-18.553.445.0-42.8-12.730.6-13.5
87      Other accounts payable-0.20.20.10.0-0.1-0.10.20.00.10.1-0.20.00.0-0.10.1-0.10.90.3-1.30.0
88Changes in net worth due to nominal holding
    gains/losses
-202.4-419.0-225.6-53.4140.8205.9-369.8-169.822.9-24.3654.0223.6-53.8371.9-159.5-447.0373.276.7-320.3165.0
                    Changes in balance sheet account
89Change in net worth ((line 12)/4 + lines 60+88)
    (3)
-239.6-475.0-272.4129.1214.3153.7-216.5-77.7309.4-78.9783.8274.4157.2394.0-121.6-277.2428.0196.7-301.1327.7
                 Financial balance sheet account
                   (end of period) (4)
90Total financial assets13,145.813,470.114,267.414,362.314,820.614,687.115,628.616,054.116,794.317,121.717,042.117,513.018,218.818,262.618,841.218,951.019,744.919,933.220,411.521,093.4
91   SDR allocations7.37.656.055.453.652.255.054.456.056.555.254.254.753.654.554.352.953.154.254.4
92   Currency and deposits871.8714.0806.3746.1725.1714.4670.8722.81,024.01,033.11,116.61,066.01,108.21,144.11,121.71,035.91,133.21,431.81,433.91,429.8
93      Currency313.0311.0315.2313.8316.0318.1328.6342.1354.7368.7378.3397.1415.1422.3438.4454.2459.2468.7481.3491.9
94      Transferable deposits50.949.345.547.247.848.846.648.456.662.271.875.271.873.981.086.284.082.992.698.4
95      Time deposits320.8305.9295.7299.2294.7299.5294.4308.2329.6347.1352.8355.6344.9353.9371.1393.4392.5399.4419.5442.8
96      Net interbank items due from U.S. banks187.247.8149.986.066.548.01.224.2283.0255.2313.7238.1276.4294.1231.2102.1197.6480.9440.5396.7
97   Debt securities7,184.97,313.67,497.17,479.97,613.57,808.08,295.78,251.68,348.28,524.38,784.48,748.78,914.28,977.89,246.79,364.89,496.39,273.79,425.69,592.0
98      Open market paper152.0137.1125.5117.2112.9104.2108.4102.1118.3117.9112.4102.7110.795.7100.9102.8109.8111.489.6101.7
99      Treasury securities3,417.83,462.03,585.93,670.63,861.74,069.74,409.24,458.84,540.94,690.64,974.45,004.45,145.15,310.95,472.75,571.55,721.35,595.05,654.75,794.9
100      Agency- and GSE-backed securities (1)1,319.31,284.01,214.11,150.01,117.21,148.31,133.11,095.81,079.41,074.11,089.01,078.21,073.01,031.51,039.31,001.2957.3904.1926.0885.3
101      Municipal securities50.750.554.658.762.766.869.371.774.276.773.572.471.770.370.771.872.573.574.976.1
102      Corporate bonds2,245.12,380.02,517.12,483.52,459.02,419.02,575.92,523.12,535.52,565.12,535.12,491.02,513.72,469.52,563.12,617.62,635.32,589.72,680.42,734.0
103   Loans (short term)762.1738.0707.8671.9730.0695.3746.0744.0809.7859.8816.3874.6818.9790.0808.9815.8881.5875.5864.9874.4
104      Security repurchases573.3544.6525.7489.4544.4518.7582.9581.8642.6674.7619.4678.5647.3624.0651.3671.9740.0723.2726.0734.1
105      Loans to U.S. corporate business188.8193.4182.1182.5185.6176.6163.1162.3167.1185.1196.9196.1171.6166.0157.7143.9141.5152.3138.9140.4
106   Equity and investment fund shares4,234.84,608.55,103.25,315.95,597.25,309.85,753.86,169.46,443.26,532.16,141.46,640.67,190.07,162.27,468.07,539.78,037.18,150.38,492.18,998.4
107      Money market fund shares74.479.178.076.975.874.772.269.867.364.869.674.479.183.990.496.9103.4110.0110.1113.3
108      Corporate equities1,709.22,037.92,446.22,658.42,861.12,540.52,866.33,216.03,437.53,459.83,029.53,397.23,845.93,716.43,940.03,953.04,393.34,463.24,749.35,163.7
109      Mutual fund shares121.2135.2163.9182.4200.8199.1231.2260.0289.0305.2267.4370.4430.2461.5478.1495.4503.7503.5517.2544.5
110      Foreign direct investment in the United
          States
2,330.12,356.32,415.22,398.22,459.62,495.62,584.22,623.62,649.42,702.22,774.92,798.72,834.82,900.42,959.42,994.33,036.63,073.73,115.63,176.9
111   Other accounts receivable84.888.397.093.1101.2107.4107.3111.8113.3115.9128.4128.8132.8134.9141.5140.5143.8148.8140.7144.4
112Total liabilities and net worth13,145.813,470.114,267.414,362.314,820.614,687.115,628.616,054.116,794.317,121.717,042.117,513.018,218.818,262.618,841.218,951.019,744.919,933.220,411.521,093.4
113   Total liabilities10,310.011,109.312,179.012,144.812,388.812,101.613,259.613,762.714,193.614,599.813,736.413,932.914,481.514,131.314,831.615,218.615,584.515,576.116,355.516,709.8
114      SDR holdings9.19.457.957.856.054.657.456.856.557.255.955.055.554.355.255.053.753.955.055.2
115      Currency and deposits1,323.01,373.81,441.91,322.71,267.61,282.61,329.41,370.81,411.61,323.71,278.71,150.81,120.51,031.01,059.21,009.31,058.11,098.91,098.91,035.6
116         Official foreign currencies46.448.651.650.248.747.351.551.851.252.651.551.650.950.351.449.747.446.848.147.4
117         Reserve position in IMF (net)8.212.113.511.411.611.412.912.519.325.528.830.131.433.935.234.234.033.933.530.8
118         U.S. private deposits1,265.81,310.51,374.21,258.41,204.81,221.31,262.41,303.91,338.51,243.01,195.81,066.41,035.5944.1969.9922.8974.11,015.61,014.7954.8
119         Nonofficial foreign currencies2.62.62.62.62.62.62.62.62.62.62.62.62.62.62.62.62.62.62.62.6
120      Debt securities1,455.11,604.11,768.31,849.11,920.21,906.22,049.32,076.32,158.32,284.02,261.22,258.72,292.02,315.02,479.62,559.52,613.22,557.92,613.12,657.3
121         Commercial paper344.8349.5396.4401.3387.5378.3378.0398.6428.2417.2352.5345.1362.6357.4366.7373.0407.4417.4405.9407.0
122         Bonds1,110.31,254.51,371.91,447.81,532.71,527.91,671.21,677.61,730.11,866.81,908.71,913.61,929.41,957.62,112.82,186.52,205.82,140.52,207.22,250.4
123      Loans (short term)998.6754.1746.0622.5707.9789.8852.6846.0866.6938.1968.71,091.31,048.11,059.71,055.91,082.51,069.11,027.21,082.81,030.8
124         Security repurchases520.3478.0529.6454.8548.3624.3680.7663.7667.2730.8747.5764.7762.5776.5781.2805.1784.5741.8787.5721.6
125         Other loans and advances19.019.319.319.920.220.120.220.220.220.120.421.524.725.828.230.830.531.532.432.2
126         Depository institution loans n.e.c.149.4142.3140.4137.5139.4144.2151.6162.0179.1187.1200.4205.2214.4229.3233.9237.7246.0252.2262.5276.7
127         Nonoff. foreign currencies (swap lines)309.9114.656.810.30.01.20.10.10.00.00.599.846.528.012.68.98.11.70.50.3
128      Equity and investment fund shares6,477.17,323.88,121.68,247.78,393.38,021.78,924.49,361.79,654.29,950.89,117.59,322.09,912.99,617.510,127.910,456.410,735.510,779.211,461.711,885.6
129         Corporate equities2,457.03,162.23,836.23,995.34,135.03,734.64,475.84,900.25,160.05,204.94,287.24,501.45,002.14,666.95,038.95,311.55,524.35,508.86,037.36,444.2
130         U.S. government equity in IBRD, etc.48.449.749.850.050.451.852.152.352.954.354.754.955.257.057.257.357.359.459.459.5
131         U.S. direct investment abroad3,870.63,988.44,101.74,077.44,074.94,136.44,278.24,273.64,319.54,505.34,576.34,599.54,670.14,727.44,877.84,972.95,016.65,110.45,237.75,284.0
132         Investment by holding companies101.0123.5134.0125.1132.998.9118.3135.6121.9186.2199.3166.3185.6166.1154.0114.7137.2100.7127.397.8
133      Other accounts payable (trade payables)47.144.143.345.143.846.846.551.146.346.054.355.152.453.953.855.754.959.144.045.3
134   Net worth (external account)2,835.82,360.82,088.42,217.52,431.82,585.52,369.02,291.32,600.82,521.93,305.73,580.13,737.34,131.34,009.73,732.44,160.44,357.14,055.94,383.6
       Footnotes


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