Integrated Macroeconomic Accounts for the United States Table

Table S.5 Nonfinancial Corporate Business
[Billions of dollars]
Today is: 11/22/2009   Last Revised on October 28, 2009  
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Line      2001       2002       2003       2004       2005       2006       2007       2008   
                       Current account
1Gross value added5,252.55,307.75,503.75,877.56,302.86,740.36,970.16,971.5
2Less: Consumption of fixed capital632.0654.5669.0695.6743.0800.9849.4898.4
3Equals: Net value added4,620.54,653.14,834.75,181.95,559.85,939.46,120.66,073.0
4   Compensation of employees (paid)3,559.43,544.23,651.33,786.73,976.34,182.34,364.24,427.9
5      Wages and salaries2,989.92,936.72,979.03,105.53,267.53,462.33,627.33,677.2
6      Employers' social contributions569.5607.5672.3681.2708.8720.0736.9750.7
7   Taxes on production and imports
       less subsidies
434.5461.9484.2517.7558.4593.3612.8621.0
8   Operating surplus, net626.7647.1699.2877.51,025.11,163.71,143.71,024.1
9Net national income/Balance of primary
    incomes, net
295.6324.6373.2500.5689.8678.9632.0559.5
10   Operating surplus, net626.7647.1699.2877.51,025.11,163.71,143.71,024.1
11   Property income (received)411.1396.9420.0481.8614.7643.6689.8677.5
12      Interest273.2249.2237.0253.1296.8357.1376.8336.6
13      Distributed income of
          corporations (dividends)
53.950.355.866.3300.279.691.0108.9
14      Reinvested earnings on U.S.
          direct investment abroad
84.097.5127.2162.417.8206.8221.9232.0
15   Less: Uses of property income (paid)742.2719.4746.0858.7950.01,128.41,201.41,142.1
16      Interest457.9401.4370.8372.2428.2503.2587.2557.7
17      Distributed income of
          corporations (dividends)
299.3305.1349.2430.8471.1550.7556.2518.2
18      Reinvested earnings on foreign
          direct investment
-28.01.512.040.534.056.540.245.2
19      Rent12.911.414.115.316.818.017.821.0
20Net national income/Balance of primary
    incomes, net
295.6324.6373.2500.5689.8678.9632.0559.5
21      Less: Current taxes on income,
          wealth, etc. (paid)
111.297.1132.9187.0271.9307.6299.3237.8
22      Less: Other current transfers
          (paid)
58.956.365.265.579.375.868.670.4
23Equals: Disposable income, net125.4171.3175.1248.0338.6295.4264.1251.3
24Equals: Net saving125.4171.3175.1248.0338.6295.4264.1251.3
                       Capital account
25Net saving less capital transfers137.9171.3175.2254.7354.2295.5264.1254.5
26   Net saving125.4171.3175.1248.0338.6295.4264.1251.3
27   Less: Capital transfers paid (net)-12.50.0-0.1-6.7-15.50.00.0-3.2
28Capital formation, net226.1141.7139.1200.6258.3356.0335.8302.0
        Gross fixed capital formation
          (acquisition of
29      produced nonfinancial assets)902.7793.0802.2851.5962.01,092.61,176.41,218.8
30   Less: Consumption of fixed capital632.0654.5669.0695.6743.0800.9849.4898.4
31   Acquisition of nonproduced
       nonfinancial assets
-8.2-10.2-9.7-9.7-8.14.4-10.18.9
32   Inventory change including
       inventory valuation adjustment
-36.413.515.554.447.459.918.9-27.2
33Net lending or borrowing, capital
    account (lines 25-28)
-88.229.636.154.195.9-60.6-71.7-47.6
                    Financial account
34Net lending or borrowing, capital
    account (line 33)
-88.229.636.154.195.9-60.6-71.7-47.6
35Net acquisition of financial assets178.0130.583.0783.6958.1713.91,045.1344.6
36   Currency and deposits-64.1-25.5139.040.9130.9-83.0-53.7-70.1
37      Currency and transferable deposits-64.4-40.750.0-12.374.1-118.4-1.4-12.5
38      Time and savings deposits8.810.271.537.749.946.6-53.8-37.6
39      Foreign deposits-8.55.117.615.66.9-11.21.5-20.0
40   Securities other than shares0.721.310.816.240.4-1.2-60.8-98.8
41      Open market paper2.44.610.919.316.011.7-53.0-59.3
42      Treasury securities-1.314.51.40.317.6-6.5-6.9-11.0
43      Agency- and GSE-backed securities 1 2.1-0.7-4.80.16.5-2.4-2.6-4.1
44      Municipal securities-2.62.83.3-3.60.3-4.01.6-24.4
45   Loans-5.66.8-14.115.310.0-9.6-27.7-19.4
46      Short term (security RPs and
          consumer credit)
-8.73.8-16.30.48.4-1.2-8.8-0.5
47      Long term (mortgages)3.12.92.214.81.7-8.4-18.9-18.9
48   Shares and other equity221.0172.7102.2301.8138.0339.8375.3377.2
49      Money market fund shares110.533.8-36.725.342.167.0130.6121.6
50      Mutual fund shares4.40.911.01.46.730.72.0-6.8
51      U.S. direct investment abroad123.8131.1125.3272.424.7219.2297.4264.4
52      Equity in government-sponsored
          enterprises 1
0.00.00.10.00.00.00.10.1
53      Investment in finance company
          subsidiaries
-17.86.92.62.664.422.9-54.8-2.1
54   Insurance technical reserves 2 10.517.618.619.220.87.17.810.2
55   Other accounts receivable15.5-62.4-173.6390.2617.9460.8804.1145.5
56      Trade receivables-121.3-98.3-17.4129.0277.7-18.1172.1-106.1
57      Other (miscellaneous assets)136.935.9-156.3261.2340.2478.9632.0251.5
58Net incurrence of liabilities96.386.112.2611.5963.2837.71,213.6459.6
59   Securities other than shares263.878.5118.395.956.3243.0330.2215.4
60      Open market paper-83.1-57.9-37.315.3-7.722.411.37.7
61      Municipal securities3.53.13.55.17.45.07.83.2
62      Corporate bonds343.4133.4152.275.556.7215.6311.2204.6
63   Loans-50.9-54.2-32.7109.2276.2224.8514.8157.4
64      Short term-103.1-85.0-92.355.475.5134.7393.2111.6
65         Bank loans n.e.c.-109.5-108.2-99.2-0.8-31.617.492.270.9
66         Other loans and advances6.323.26.956.2107.1117.2300.940.7
67      Long term (mortgages)52.330.859.653.8200.790.1121.745.8
68   Shares and other equity93.458.30.7-27.0-244.4-376.7-509.3-121.6
69      Corporate equities-48.1-16.2-39.6-122.7-343.1-567.7-790.1-334.9
70      Foreign direct investment in the
          United States
141.574.540.395.798.7191.0280.7213.3
71   Insurance technical reserves
       (contributions payable)
-24.61.5-0.2-3.1-1.9-2.04.40.7
72   Other accounts payable-185.52.0-73.9436.6877.0748.6873.4207.7
73      Trade payables-103.719.7-54.897.5199.1109.5104.8-168.6
74      Taxes payable3.111.9-11.76.85.1-0.31.00.6
75      Miscellaneous liabilities-84.8-29.6-7.4332.3672.8639.4767.6375.6
  Addendum:
76Net lending or borrowing, financial
    account (lines 35-58)
81.744.370.8172.1-5.1-123.7-168.5-115.0
           Other changes in volume account
77Total other volume changes21.8-130.1214.2380.7453.4747.8960.1248.6
78   Other volume changes-140.0-147.5168.2228.4523.6773.01,012.9277.8
79   Less: Statistical discrepancy
       (lines 33-[35-58]) 3
-169.8-14.8-34.7-118.0101.063.296.867.4
80   Less: Inventory valuation adjustment8.0-2.6-11.3-34.3-30.7-38.0-44.0-38.2
                    Revaluation account
81   Nonfinancial assets-222.4157.3284.7513.91,561.41,177.4357.2-1,341.7
82      Real estate-150.5171.1283.9448.01,513.41,108.3257.3-1,376.5
83      Equipment and software-37.9-16.60.946.234.481.258.8114.8
84      Inventories-34.12.8-0.119.813.5-12.141.0-80.0
85   Financial assets0.6-26.627.090.395.432.973.4-126.8
86      Mutual fund shares-13.8-17.619.113.19.117.111.5-67.4
87      Direct investment abroad14.4-9.07.977.286.315.961.9-59.4
88   Liabilities-1,583.1-2,728.22,681.71,375.7981.92,456.01,776.2-5,219.1
89      Corporate equity-1,527.8-2,640.02,672.51,363.6940.92,473.71,738.2-5,228.4
90      Foreign direct investment in the
          United States
-55.3-88.29.212.141.0-17.738.09.3
91Changes in net worth due to nominal
    holding gains/losses
1,361.22,858.9-2,370.0-771.5674.9-1,245.7-1,345.63,750.7
        Changes in balance sheet account
92Change in net worth (lines 28+33+77+91) 4 1,508.42,900.0-1,980.7-142.81,466.9-202.4-121.44,250.5
           Balance sheet account (end of
             period)
93Total assets19,185.919,544.320,139.921,722.524,585.226,926.628,780.327,900.2
94   Nonfinancial assets 5 9,280.19,595.310,023.410,782.912,667.814,232.515,019.114,012.4
95      Real estate 6 4,742.34,979.05,303.25,805.67,408.88,624.69,088.37,919.2
96      Equipment and software3,268.13,314.43,376.93,509.73,681.03,922.74,118.64,324.2
97      Inventories1,269.81,301.81,343.31,467.61,578.01,685.21,812.21,769.0
98   Financial assets9,905.89,949.010,116.410,939.611,917.412,694.113,761.113,887.8
99      Currency and deposits480.9455.4594.4635.3766.2683.3629.5559.5
100         Currency and transferable
             deposits
184.3143.5193.5181.2255.3136.9135.6123.1
101         Time and savings deposits281.1291.3362.8400.5450.4497.0443.2405.6
102         Foreign deposits15.520.638.153.760.649.350.830.8
103      Securities other than shares123.9145.2156.0172.2212.6211.4150.651.8
104         Open market paper60.264.875.795.0111.0122.769.710.4
105         Treasury securities16.931.432.833.150.744.337.326.4
106         Agency- and GSE-backed
             securities 1
17.516.912.112.218.816.413.89.7
107         Municipal securities29.332.135.431.832.128.129.85.3
108      Loans123.7130.4116.3131.6141.6132.0104.384.9
109         Short term77.080.964.665.073.472.263.462.8
110            Security repurchases4.06.26.06.414.615.58.17.5
111            Consumer credit73.174.758.658.658.856.755.355.3
112         Long term (mortgages)46.649.651.866.668.359.840.922.1
113      Shares and other equity1,916.02,062.22,191.32,583.42,845.83,218.73,663.63,914.0
114         Money market fund shares301.9335.7299.0324.3366.5433.4564.1685.7
115         Mutual fund shares112.595.8125.9140.5156.3204.0217.5143.3
116         U.S. direct investment abroad1,489.81,611.91,745.12,094.72,205.72,440.72,800.03,005.1
117         Equity in
             government-sponsored enterprises 1
0.20.30.30.30.40.40.50.5
118         Investment in finance company
             subsidiaries
11.618.521.023.6117.0140.181.579.4
119      Insurance technical reserves 2 205.1222.7241.3260.5281.4288.5296.3306.6
120      Other accounts receivable7,056.26,933.26,817.17,156.67,669.88,160.38,916.78,971.0
121         Trade receivables1,817.91,719.61,702.31,831.32,109.02,090.92,263.02,156.9
122         Other (miscellaneous assets)5,238.35,213.65,114.85,325.35,560.86,069.46,653.76,814.1
123Total liabilities and net worth19,185.919,544.320,139.921,722.524,585.226,926.628,780.327,900.2
124   Liabilities20,698.018,156.420,732.622,458.023,853.826,397.528,372.723,242.1
125      Securities other than shares2,949.93,028.53,146.83,242.73,299.03,542.03,872.24,087.6
126         Open market paper177.7119.882.597.890.1112.5123.8131.5
127         Municipal securities157.7160.8164.2169.4176.7181.7189.5192.6
128         Corporate bonds2,614.52,747.92,900.12,975.53,032.23,247.83,558.93,763.5
129      Loans1,897.61,843.41,840.81,950.02,226.12,447.72,969.03,121.5
130         Short term1,484.41,399.41,319.11,374.51,450.01,581.41,981.02,092.7
131            Bank loans n.e.c.749.2641.0553.8553.0521.5538.9637.6708.6
132            Other loans and advances735.2758.3765.2821.5928.51,042.51,343.41,384.1
133         Long term (mortgages)413.2444.0521.7575.4776.1866.3987.91,028.8
134      Shares and other equity12,134.89,464.912,147.213,495.914,233.516,312.717,579.512,238.8
135         Corporate equity10,868.68,212.310,845.212,086.212,684.014,590.015,538.19,974.8
136         Foreign direct investment in
             the United States
1,266.21,252.51,302.01,409.81,549.41,722.72,041.42,264.0
137      Insurance technical reserves
          (contributions payable)
48.449.949.846.644.842.847.247.9
138      Other accounts payable3,667.33,769.73,548.03,722.84,050.54,052.43,904.73,746.3
139         Trade payables1,438.61,458.31,403.51,501.11,700.21,812.91,917.71,749.1
140         Taxes payable81.093.081.288.093.192.893.894.4
141         Miscellaneous liabilities2,147.62,218.42,063.32,133.72,257.22,146.71,893.21,902.8
142   Net worth-1,512.11,388.0-592.7-735.5731.4529.0407.64,658.1
       Footnotes

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