Integrated Macroeconomic Accounts for the United States Table

S.3.a Households and Nonprofit Institutions Serving Households
[Billions of dollars]
Today is: 12/21/2014   Last Revised on December 16, 2014  
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Line      2005       2006       2007       2008       2009       2010       2011       2012   
                                              
                                                 Current account
1Gross value added1,599.51,689.41,749.61,855.31,913.61,928.81,974.42,023.9
2Less: Consumption of fixed capital362.1396.2413.7414.6403.3400.5398.2404.5
3Equals: Net value added1,237.51,293.21,335.91,440.71,510.31,528.31,576.11,619.4
4   Compensation paid by households and NPISHs563.4590.9616.8658.2686.6696.4723.9752.0
5      Wages and salaries466.2490.9516.0549.9566.1577.3597.0622.3
6      Employers' social contributions97.1100.0100.8108.3120.5119.1126.9129.7
7   Taxes on production and imports less subsidies120.7130.8135.1143.2152.4152.8154.9156.6
8   Operating surplus, net553.4571.5584.0639.3671.3679.1697.2710.7
9Net national income/Balance of primary incomes,
    net
9,733.110,437.510,936.711,247.710,643.410,889.511,566.012,255.9
10   Operating surplus, net553.4571.5584.0639.3671.3679.1697.2710.7
11   Compensation of employees (received)7,086.87,502.37,898.38,078.37,787.07,961.48,269.08,606.5
12      Wages and salaries5,692.06,057.46,395.26,531.96,251.46,377.56,633.26,932.1
13      Employers' social contributions1,394.81,444.91,503.11,546.41,535.61,583.91,635.91,674.4
14   Property income (received)2,722.23,071.63,234.63,303.62,901.92,900.23,207.93,516.9
15      Interest1,089.41,216.11,351.51,363.01,265.51,196.21,232.91,257.2
16      Distributed income of corporations1,632.81,855.51,883.11,940.61,636.41,704.01,975.02,259.7
17         Dividends578.3723.7816.5805.4553.7544.6682.2832.7
18         Withdrawals from income of
             quasi-corporations (1)
1,054.51,131.81,066.61,135.21,082.61,159.41,292.81,427.0
19   Less: Uses of property income (interest paid)629.3707.9780.2773.5716.8651.2608.2578.2
20Net national income/Balance of primary incomes,
    net
9,733.110,437.510,936.711,247.710,643.410,889.511,566.012,255.9
21Less: Current taxes on income, wealth, etc. (paid)1,208.51,352.11,487.91,435.21,144.91,191.51,400.61,503.7
22Plus: Social benefits (received)1,486.31,588.21,692.21,847.32,101.52,234.02,257.72,307.6
23Less: Social contributions (paid)873.3922.6961.4988.2964.4984.1917.8951.2
24Plus: Other current transfers (received)25.721.530.636.638.743.050.243.1
25Less: Other current transfers (paid)131.2138.9149.3152.3155.2160.6155.1172.4
26Equals: Disposable income, net9,032.09,633.510,060.810,555.910,519.010,830.211,400.411,979.3
27Less: Final consumption expenditures8,794.19,304.09,750.510,013.69,847.010,202.210,689.311,083.1
28Equals: Net saving237.9329.5310.3542.2672.0628.0711.1896.2
                                              
                                                 Capital account
29Net saving less capital transfers259.8313.0303.5534.6700.4648.6709.1901.2
30   Net saving237.9329.5310.3542.2672.0628.0711.1896.2
31   Less: Capital transfers paid (net)-21.916.66.87.7-28.4-20.62.0-5.0
32Capital formation, net493.8453.8311.2154.955.243.445.890.7
33   Gross fixed capital formation, excluding
       consumer durables
865.0860.1736.1580.4468.1452.4451.9502.9
34      Residential738.9722.7582.3425.3321.1318.3321.1368.0
35      Nonresidential (nonprofit organizations)126.1137.4153.9155.2147.1134.1130.8134.9
36   Less: Consumption of fixed capital362.1396.2413.7414.6403.3400.5398.2404.5
37   Acquisition of nonproduced nonfinancial assets-9.1-10.1-11.2-11.0-9.7-8.5-7.8-7.7
38Net lending (+) or borrowing (-), capital
    account (lines 29-32)
-234.0-140.8-7.7379.7645.2605.2663.3810.5
                                         Financial
                                           account
39Net lending (+) or borrowing (-) (line 38)-234.0-140.8-7.7379.7645.2605.2663.3810.5
40Net acquisition of financial assets863.3910.71,205.11,090.7675.2790.71,059.61,194.8
41   Currency and deposits369.7452.7426.1420.0199.7206.3690.0591.9
42      Currency and transferable deposits-113.9-40.0-75.3176.8101.038.9328.5182.6
43      Time and savings deposits481.5486.5483.6261.0105.9162.8371.4417.0
44      Foreign deposits2.16.117.8-17.8-7.24.5-9.9-7.7
45      Postal savings system deposits0.00.00.00.00.00.00.00.0
46   Debt securities48.2-97.1478.9577.583.8-69.0-220.8-238.0
47      Open market paper14.719.0-10.2-101.316.7-1.5-1.8-0.6
48      Treasury securities-121.3-103.7-37.9146.1533.1320.4-229.7210.9
49      Agency- and GSE-backed securities (2)148.4-23.3339.6239.9-670.9-9.9-10.9-136.4
50      Municipal securities77.834.737.947.3107.143.6-65.6-143.8
51      Corporate and foreign bonds-71.4-23.9149.5245.597.7-421.687.2-168.1
52   Loans-0.970.8220.4-159.2-47.61.6-5.116.8
53      Short term-9.087.9233.3-160.4-46.812.5-5.930.7
54      Long term (mortgages)8.1-17.1-12.91.1-0.9-10.90.7-13.9
55   Equity and investment fund shares-224.4-213.8-625.2-413.6-17.144.9-46.2359.2
56      Corporate equities-412.6-608.2-1,065.5-321.2-19.0-220.9-308.8-241.4
57      Mutual fund shares196.6182.0247.7-20.9375.6281.0334.4607.0
58      Money market fund shares44.4218.0239.3234.5-267.3-183.0-15.2-4.8
59      Equity in noncorporate business-52.8-5.5-46.7-306.1-107.6163.8-57.3-1.7
60      Equity investment under Public-Private
          Inv. Program (3)
0.00.00.00.01.24.00.70.0
61   Insurance, pension and standardized guarantee
       schemes
670.8698.1704.9666.0456.5607.0641.8464.9
62      Insurance receivables due from
          property-casualty insurance companies
25.64.66.711.08.7-35.236.7-17.7
63      Life insurance reserves15.157.818.259.924.66.273.5-26.6
64      Pension entitlements (4)597.7603.0620.6551.0398.2596.4498.3497.6
65      Non-life insurance reserves at life
          insurance companies
9.514.815.517.68.417.114.8-1.8
66      Retiree Health Care Funds23.018.143.926.516.622.518.513.3
67Net incurrence of liabilities1,159.41,275.1962.310.375.6-106.0-66.5272.8
68   Debt securities (municipals)15.116.421.19.35.9-2.2-7.8-14.5
69   Loans1,130.31,244.6925.5-24.333.2-77.1-59.5282.7
70      Short term69.2229.1178.8-114.9-36.6102.416.2346.6
71         Consumer credit100.4120.5151.334.9-103.6-25.3108.5169.7
72         Depository institution loans n.e.c.0.344.2-9.14.628.350.1-54.9110.8
73         Other loans and advances0.04.83.26.20.52.41.91.2
74         Security credit-31.659.733.4-160.738.175.2-39.364.9
75      Long term (mortgages)1,061.11,015.4746.890.669.8-179.5-75.7-64.0
76   Insurance, pension and standardized guarantee
       schemes
1.00.51.03.2-4.92.7-0.40.6
77   Other accounts payable (trade debt)13.013.614.622.241.4-29.41.24.0
  Addendum:
78Net lending (+) or borrowing (-), financial
    account (lines 40-67)
-296.1-364.3242.81,080.4599.6896.81,126.1922.0
                       Other changes in volume
                         account
79Total other volume changes270.4496.5600.4814.8582.11,198.1456.9535.1
80   Net investment in consumer durable goods252.4239.6231.1134.650.386.9119.0158.4
81   Disaster losses-50.40.00.0-8.30.00.00.0-20.9
82   Other volume changes130.5480.4118.7-12.1577.5819.7-124.8286.1
83   Less: Statistical discrepancy (lines 38-78) (5)62.1223.5-250.5-700.745.6-291.6-462.8-111.5
                                           
                                              Revaluation account
84   Nonfinancial assets2,827.8267.7-1,861.5-3,676.5-1,194.4-482.2-130.31,476.8
85      Real estate2,874.5316.0-1,802.5-3,642.0-1,146.9-391.0-152.71,515.7
86      Consumer durable goods-44.1-46.9-55.6-32.0-40.8-88.317.7-41.5
87      Equipment-2.6-0.6-3.1-1.3-4.7-2.42.5-0.1
88      Intellectual property products-0.1-0.8-0.3-1.2-2.0-0.42.22.8
89   Financial assets2,535.03,417.71,372.1-7,926.81,659.62,850.5177.52,922.7
90      Corporate equities1,031.92,209.5851.2-3,830.51,514.21,645.455.91,389.4
91      Mutual fund shares38.7334.8269.4-1,311.2465.4254.9-268.6326.6
92      Equity in noncorporate business1,192.8433.3131.6-1,144.4-1,137.7454.6525.2667.2
93      Equity investment under Public-Private
          Inv. Program
0.00.00.00.0-0.3-1.0-0.20.0
94      Insurance, pension and standardized
          guarantee schemes
271.6440.1119.8-1,640.6817.9496.7-134.8539.7
95Changes in net worth due to nominal holding
    gains/losses
5,362.73,685.4-489.4-11,603.3465.32,368.347.14,399.6
                    Changes in balance sheet account
96Change in net worth (lines 32+38+79+95)5,892.94,494.8414.4-10,253.91,747.84,215.11,213.25,835.9
                       Balance sheet account (end
                         of period)
97Total assets74,006.679,800.681,149.270,779.472,310.576,244.677,250.183,156.7
98   Nonfinancial assets28,531.829,494.128,175.624,780.923,693.023,338.923,371.125,073.7
99      Real estate24,138.424,884.823,366.219,846.618,736.518,370.418,245.519,816.1
100      Consumer durable goods4,107.84,300.54,476.04,578.64,588.14,586.74,723.34,840.1
101      Equipment206.1226.0245.8264.0271.9280.1293.0299.7
102      Intellectual property products79.582.887.691.696.4101.8109.4117.7
103   Financial assets45,474.850,306.452,973.645,998.648,617.552,905.753,879.058,083.0
104      Currency and deposits5,314.85,793.76,214.76,599.76,784.96,941.87,631.78,165.1
105         Currency and transferable deposits285.9239.7153.3295.2396.1423.7752.2921.1
106         Foreign deposits63.869.987.769.962.767.357.449.7
107         Time and savings deposits4,965.05,484.15,973.66,234.66,326.06,450.86,822.27,194.2
108         Postal savings system deposits0.00.00.00.00.00.00.00.0
109      Debt securities3,311.43,256.53,782.44,230.64,611.04,717.04,184.54,004.8
110         Open market paper98.4117.5107.36.022.721.119.418.8
111         Treasury securities425.7325.8202.9184.1854.11,126.5706.6928.1
112         Agency- and GSE-backed securities (2)587.4613.4874.01,056.6357.4335.5300.7153.5
113         Municipal securities1,600.61,635.71,673.51,720.81,827.91,871.51,805.91,662.1
114         Corporate and foreign bonds599.3564.1924.61,263.21,549.01,362.31,352.01,242.3
115      Loans772.9912.51,132.9973.6928.3929.9924.7930.5
116         Short term632.1788.91,022.1861.8817.4829.8824.0843.6
117         Long term (mortgages)140.8123.6110.7111.8110.9100.1100.886.9
118      Equity and investment fund shares20,914.224,158.824,787.418,089.918,926.021,339.721,616.924,467.4
119         Corporate equities8,026.010,126.89,912.55,760.87,256.08,680.58,475.19,623.1
120         Mutual fund shares3,522.44,074.54,591.53,259.44,100.54,636.34,658.25,701.8
121         Money market fund shares942.71,106.61,345.91,580.51,313.11,130.11,114.91,110.1
122         Equity in noncorporate business8,423.18,851.08,937.57,489.26,255.56,889.07,364.38,028.1
123         Equity investment under Public-Private
             Inv. Program (3)
0.00.00.00.00.93.84.44.4
124      Insurance, pension and standardized
          guarantee schemes
15,161.516,185.017,056.216,104.717,367.418,977.319,521.220,515.2
125         Insurance receivables due from
             property-casualty insurance companies
316.0320.5327.3337.3346.0310.8347.5329.8
126         Life insurance reserves1,082.61,055.21,076.81,049.81,109.21,137.21,199.01,186.1
127         Pension entitlements (4)13,470.314,483.715,267.214,288.615,458.117,035.717,447.718,460.8
128         Non-life insurance reserves at life
             insurance companies
217.3232.1247.6265.2273.6290.7305.5303.7
129         Retiree Health Care Funds75.493.5137.3163.8180.4202.9221.4234.8
130Total liabilities and net worth74,006.679,800.681,149.270,779.472,310.576,244.677,250.183,156.7
131   Liabilities12,162.413,461.514,395.814,279.914,063.213,782.213,574.513,645.1
132      Debt securities (municipals)212.7229.1250.2259.5265.4263.2255.5241.0
133      Loans11,741.113,009.713,907.213,756.613,497.513,245.513,044.713,125.2
134         Short term2,655.52,908.73,090.12,975.12,873.63,122.83,144.43,429.3
135            Consumer credit2,320.62,461.92,615.72,650.62,552.82,647.42,755.92,923.6
136            Depository institution loans n.e.c.-16.530.921.826.4-15.961.011.562.6
137            Other loans and advances119.0123.8127.0133.2133.7136.1138.1139.3
138            Security credit232.4292.1325.5164.8203.0278.2238.9303.7
139         Long term (mortgages)9,085.510,101.010,817.110,781.510,623.910,122.79,900.39,695.9
140      Insurance, pension and standardized
          guarantee schemes
22.422.823.927.022.124.724.324.9
141      Other accounts payable (trade debt)186.3199.9214.5236.7278.2248.8250.0254.0
142   Net worth61,844.266,339.066,753.556,499.658,247.362,462.463,675.669,511.6
       Footnotes


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