Integrated Macroeconomic Accounts for the United States Table

S.3.a Households and Nonprofit Institutions Serving Households
Today is: 4/7/2013   Last Revised on March 12, 2013  
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Line      2004       2005       2006       2007       2008       2009       2010       2011   
                                              
                                                 Current account
1Gross value added1,423.81,506.41,602.81,685.81,805.71,844.81,851.21,892.1
2Less: Consumption of fixed capital222.2245.1268.1285.5294.6292.7294.9301.7
3Equals: Net value added1,201.61,261.31,334.71,400.31,511.11,552.11,556.31,590.4
4   Compensation paid by households and NPISHs550.7571.1603.5634.6671.5700.9714.9737.0
5      Wages and salaries456.7473.4502.0532.0562.3579.2591.4611.7
6      Employers' social contributions94.097.8101.5102.6109.2121.7123.6125.3
7   Taxes on production and imports less subsidies116.4121.3131.1133.9142.0151.1152.4155.3
8   Operating surplus, net534.4568.9600.2631.9697.6700.1689.0698.1
9Net national income/Balance of primary incomes,
    net
9,149.59,655.510,366.810,895.111,320.810,483.610,840.911,377.3
10   Operating surplus, net534.4568.9600.2631.9697.6700.1689.0698.1
11   Compensation of employees (received)6,693.47,065.07,477.07,855.98,068.37,799.47,970.08,295.2
12      Wages and salaries5,410.75,706.06,070.16,415.56,545.96,275.36,404.66,661.3
13      Employers' social contributions1,282.71,359.11,406.91,440.41,522.51,524.01,565.41,633.9
14   Property income (received)2,498.62,669.93,023.43,219.93,360.92,701.12,809.12,961.9
15      Interest861.5988.31,128.91,266.51,383.41,094.51,017.81,010.0
16      Distributed income of corporations1,637.11,681.61,894.51,953.41,977.51,606.61,791.31,951.8
17         Dividends548.3555.0702.2791.9783.4533.2581.7676.3
18         Withdrawals from income of
             quasi-corporations (1)
1,088.81,126.61,192.31,161.51,194.11,073.41,209.61,275.5
19   Less: Uses of property income (interest paid)576.9648.3733.8812.6806.0717.0627.1577.9
20Net national income/Balance of primary incomes,
    net
9,149.59,655.510,366.810,895.111,320.810,483.610,840.911,377.3
21Less: Current taxes on income, wealth, etc. (paid)1,047.81,208.61,352.41,488.71,435.71,144.61,194.81,398.0
22Plus: Social benefits (received)1,398.61,482.71,583.61,687.91,842.42,100.52,236.92,274.3
23Less: Social contributions (paid)827.3872.7921.8959.5987.3963.1983.3919.3
24Plus: Other current transfers (received)16.925.821.430.536.839.647.444.9
25Less: Other current transfers (paid)116.1131.0138.7150.6154.2156.9164.7160.8
26Equals: Disposable income, net8,573.88,951.79,558.910,014.710,622.910,359.110,782.411,218.4
27Less: Final consumption expenditures8,270.68,803.59,301.09,772.310,035.59,845.910,215.710,729.0
28Equals: Net saving303.2148.2257.9242.5587.3513.2566.7489.4
                                              
                                                 Capital account
29Net saving less capital transfers301.9170.1241.1239.4595.9559.8607.6508.8
30   Net saving303.2148.2257.9242.5587.3513.2566.7489.4
31   Less: Capital transfers paid (net)1.4-21.916.83.0-8.6-46.6-40.9-19.4
32Capital formation, net459.5526.7499.3365.1223.4116.894.787.4
33   Gross fixed capital formation, excluding
       consumer durables
690.4781.0777.7661.9529.2419.4398.8398.4
34      Residential594.4681.9670.1541.7397.2295.5288.9286.4
35      Nonresidential (nonprofit organizations)95.999.1107.5120.2132.0123.9110.0112.0
36   Less: Consumption of fixed capital222.2245.1268.1285.5294.6292.7294.9301.7
37   Acquisition of nonproduced nonfinancial assets-8.7-9.2-10.2-11.3-11.2-9.9-9.2-9.3
38Net lending (+) or borrowing (-), capital
    account (lines 29-32)
-157.6-356.6-258.2-125.7372.6443.0512.9421.3
                                         Financial
                                           account
39Net lending (+) or borrowing (-), capital
    account (line 38)
-157.6-356.6-258.2-125.7372.6443.0512.9421.3
40Net acquisition of financial assets1,184.1876.1813.71,053.6412.4274.6678.4763.7
41   Currency and deposits394.8372.8446.5411.0386.8193.3206.1628.4
42      Currency and transferable deposits-58.2-113.9-40.0-74.6224.424.054.2287.4
43      Time and savings deposits447.6484.3481.3470.3186.1175.6150.3342.9
44      Foreign deposits5.42.45.215.4-23.7-6.41.6-1.9
45      Postal savings system deposits0.00.00.00.00.00.00.00.0
46   Debt securities233.7210.3128.5489.8137.7-31.7150.3-269.2
47      Open market paper6.414.719.0-10.2-101.328.7-2.9-2.6
48      U.S. savings bonds0.60.7-2.7-6.0-2.4-2.8-3.3-2.7
49      Treasury securities-7.1-102.6-92.2-67.1199.3424.8383.7-271.7
50      Agency- and GSE-backed securities (2)94.2171.4-8.4348.5187.9-589.6-25.214.6
51      Municipal securities118.478.135.138.048.4106.744.3-61.2
52      Corporate and foreign bonds21.148.0177.7186.5-194.20.5-246.354.5
53   Loans116.17.863.5206.9-110.2-89.113.944.6
54      Short term105.8-0.380.8219.2-111.6-79.425.155.3
55      Long term (mortgages)10.38.1-17.3-12.31.4-9.7-11.2-10.8
56   Equity and investment fund shares-33.8-184.5-236.8-415.4-259.770.058.592.5
57      Corporate equities-271.4-414.4-638.7-902.8-206.659.0-95.1-62.0
58      Mutual fund shares169.9179.9177.2229.1-4.2310.7189.5166.7
59      Money market fund shares-56.144.4164.0239.9235.1-268.6-183.5-4.5
60      Equity in noncorporate business123.85.660.618.4-284.0-32.3143.6-8.3
61      Equity investment under Public-Private
          Inv. Program (3)
0.00.00.00.00.01.24.00.7
62   Insurance, pension and standardized guarantee
       schemes
473.3469.7412.0361.3257.8132.1249.6267.4
63      Net equity in life insurance and pension
          funds
420.8411.7374.6295.1202.7112.2209.1221.3
64         Net equity in life insurance reserves33.116.157.818.061.723.79.086.9
65         Net equity in pension fund reserves387.7395.6316.8277.1141.088.5200.1134.4
66      Prepayments of premiums and reserves
          against claims
52.558.037.466.155.119.940.446.1
67         Net equity in reserves of
             property-casualty insurance companies
23.625.64.66.711.0-5.13.213.2
68         Net equity in other life insurance
             company reserves
11.49.514.815.517.68.414.814.4
69         Net equity in Retiree Health Care Funds17.423.018.143.926.516.622.518.5
70Net incurrence of liabilities1,153.61,162.81,229.3902.0-163.8-185.2-256.2-235.3
71   Debt securities (municipals)14.715.116.421.19.35.9-2.2-7.8
72   Loans1,120.91,133.61,198.9865.3-198.4-202.2-278.0-241.2
73      Short term179.477.1191.6168.8-129.8-44.399.3-5.5
74         Consumer credit117.2100.4115.2141.320.1-115.9-30.785.8
75         Depository institution loans n.e.c.-19.68.212.0-9.14.633.052.4-53.9
76         Other loans and advances0.30.04.83.26.20.52.41.9
77         Security credit81.5-31.659.733.4-160.738.175.2-39.3
78      Long term (mortgages)941.51,056.51,007.2696.5-68.6-157.9-377.3-235.7
79   Insurance, pension and standardized guarantee
       schemes
1.61.00.51.03.2-4.92.7-0.4
80   Other accounts payable (trade debt)16.513.013.614.622.216.021.414.0
  Addendum:
81Net lending (+) or borrowing (-), financial
    account (lines 40-70)
30.5-286.7-415.7151.6576.2459.8934.6999.0
                       Other changes in volume
                         account
82Total other volume changes1,222.9368.4136.1597.7232.6505.9645.6428.0
83   Net investment in consumer durable goods249.7249.5238.8232.8134.857.793.1133.4
84   Disaster losses12.050.40.00.08.30.00.00.0
85   Other volume changes773.1-1.354.887.7-114.1431.5130.7-283.1
86   Less: Statistical discrepancy (lines
       38-[40-70]) (4))
-188.1-69.9157.5-277.3-203.7-16.8-421.7-577.7
                                           
                                              Revaluation account
87   Nonfinancial assets2,344.22,853.2343.4-1,923.2-3,751.6-1,211.7-479.7-269.8
88      Real estate2,377.22,894.5379.3-1,871.0-3,719.1-1,167.8-390.4-286.6
89      Consumer durable goods-37.6-45.6-43.2-58.1-36.3-42.9-90.614.7
90      Equipment and software4.64.47.35.93.8-1.11.32.2
91   Financial assets2,999.32,916.53,702.41,588.3-9,551.32,220.23,186.7262.7
92      Corporate equities1,000.21,076.52,217.5855.3-3,768.61,535.71,466.6210.9
93      Mutual fund shares327.145.2346.6200.2-1,274.7520.2251.0-364.1
94      Equity in noncorporate business1,122.41,315.0261.7119.1-1,314.3-1,234.6505.0549.8
95      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.0-0.3-1.0-0.2
96      Insurance, pension and standardized
          guarantee schemes
549.5479.8876.6413.8-3,193.71,399.2965.2-133.7
97Changes in net worth due to nominal holding
    gains/losses
5,343.55,769.84,045.8-334.9-13,302.91,008.52,707.0-7.1
                    Changes in balance sheet account
98Change in net worth (lines 32+38+82+97)6,868.36,308.34,423.1502.3-12,474.32,074.23,960.2929.7
                       Balance sheet account (end
                         of period)
99Total assets65,880.473,350.478,986.880,393.767,760.569,606.173,329.174,028.8
100   Nonfinancial assets24,876.428,447.729,536.128,207.424,814.523,781.123,481.223,423.5
101      Real estate20,774.124,126.024,999.323,477.119,964.218,904.718,592.218,373.8
102      Consumer durable goods3,894.14,098.04,293.64,468.34,566.84,581.64,584.14,732.2
103      Equipment and software208.1223.7243.2262.0283.6294.8304.9317.5
104   Financial assets41,004.144,902.849,450.752,186.342,946.045,825.149,847.950,605.3
105      Currency and deposits4,901.85,274.55,720.96,131.96,483.76,662.56,823.57,451.8
106         Currency and transferable deposits399.8285.8245.9160.2349.6373.6416.5704.0
107         Foreign deposits57.559.965.280.556.950.552.150.1
108         Time and savings deposits4,444.54,928.85,409.95,891.26,077.26,238.46,354.96,697.7
109         Postal savings system deposits0.00.00.00.00.00.00.00.0
110      Debt securities3,758.54,078.04,238.54,821.94,894.25,258.95,612.15,089.4
111         Open market paper83.798.4117.5107.36.034.631.729.1
112         U.S. savings bonds204.4205.1202.4196.4194.0191.2187.9185.2
113         Treasury securities263.2234.9155.63.537.9599.4927.0462.8
114         Agency- and GSE-backed securities (2)417.9585.9552.7831.1965.9347.8321.5316.1
115         Municipal securities1,522.61,600.81,636.11,674.11,722.41,829.11,873.41,812.2
116         Corporate and foreign bonds1,266.71,352.91,574.32,009.51,968.12,256.72,270.62,284.0
117      Loans715.5723.4786.9993.8883.5796.8810.6855.2
118         Short term584.3584.0664.7884.0772.4695.4720.4775.8
119         Long term (mortgages)131.3139.4122.1109.8111.1101.490.279.5
120      Equity and investment fund shares19,371.621,623.824,212.724,971.918,354.719,245.721,525.821,999.3
121         Corporate equities7,516.88,178.99,757.79,710.25,735.07,329.88,701.38,850.1
122         Mutual fund shares3,411.23,636.34,160.04,589.23,310.44,141.24,581.74,384.2
123         Money market fund shares898.4942.71,106.81,346.71,581.81,313.21,129.71,109.9
124         Equity in noncorporate business7,545.38,865.99,188.39,325.87,727.56,460.77,109.27,650.7
125         Equity investment under Public-Private
             Inv. Program (3)
0.00.00.00.00.00.93.84.4
126      Insurance, pension and standardized
          guarantee schemes
12,256.613,203.014,491.715,266.712,329.813,861.215,075.915,209.6
127         Net equity in life insurance and
             pension funds
11,702.912,594.413,845.614,554.511,563.513,074.914,249.214,336.8
128            Net equity in life insurance reserves1,060.41,082.61,055.21,076.81,049.81,109.21,137.21,203.6
129            Net equity in pension fund reserves10,642.511,511.812,790.413,477.710,513.711,965.713,112.013,133.2
130         Prepayments of premiums and reserves
             against claims
553.8608.7646.1712.2766.3786.3826.7872.8
131            Net equity in reserves of
                property-casualty insurance companies
290.4316.0320.5327.3337.3332.2335.4348.6
132            Net equity in other life insurance
                company reserves
211.0217.3232.1247.6265.2273.6288.4302.8
133            Net equity in Retiree Health Care
                Funds
52.475.493.5137.3163.8180.4202.9221.4
134Total liabilities and net worth65,880.473,350.478,986.880,393.767,760.569,606.173,329.174,028.8
135   Liabilities10,995.812,157.513,370.814,275.414,116.513,887.913,650.713,420.8
136      Debt securities (municipals)197.6212.7229.1250.2259.5265.4263.2255.5
137      Loans10,602.511,736.212,919.013,786.813,593.313,347.713,088.612,852.8
138         Short term2,579.12,656.22,831.83,003.12,873.32,785.63,016.83,016.8
139            Consumer credit2,220.12,320.62,385.02,528.82,548.92,438.72,541.62,627.4
140            Depository institution loans n.e.c.-24.0-15.830.921.826.410.261.012.4
141            Other loans and advances119.0119.0123.8127.0133.2133.7136.1138.1
142            Security credit264.0232.4292.1325.5164.8203.0278.2238.9
143         Long term (mortgages)8,023.49,079.910,087.210,783.710,720.010,562.110,071.89,836.1
144      Insurance, pension and standardized
          guarantee schemes
22.522.422.823.927.022.124.724.3
145      Other accounts payable (trade debt)173.3186.3199.9214.5236.7252.7274.1288.2
146   Net worth54,884.661,192.965,616.066,118.353,644.055,718.259,678.460,608.0
       Footnotes


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