Integrated Macroeconomic Accounts for the United States Table

S.6.a Financial Business
[Billions of dollars]
Today is: 8/30/2014   Last Revised on June 16, 2014  
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Line      2005       2006       2007       2008       2009       2010       2011       2012   
                                              
                                                 Current account
1Gross value added1,034.31,127.61,068.8852.31,015.71,039.91,025.11,090.3
2Less: Consumption of fixed capital148.9156.8165.4173.9177.4176.7179.0186.6
3Equals: Net value added885.5970.8903.4678.4838.4863.3846.0903.7
4   Compensation of employees (paid)535.4579.8618.2612.9549.0572.5610.1633.6
5      Wages and salaries449.4490.8527.1517.9466.2486.4514.3538.3
6      Employers' social contributions86.089.091.195.082.886.195.995.3
7   Taxes on production and imports less subsidies49.552.554.755.664.264.861.061.5
8   Operating surplus, net300.6338.5230.59.9225.2226.0174.9208.6
9Net national income/Balance of primary incomes,
    net
200.3205.2110.7-1.7290.8375.8324.9322.4
10   Operating surplus, net300.6338.5230.59.9225.2226.0174.9208.6
11   Property income (received)2,078.12,657.43,096.12,718.32,096.62,027.02,040.01,990.3
12      Interest1,886.62,403.62,786.62,398.51,834.41,714.01,709.21,625.8
13      Distributed income of corporations
          (dividends)
188.6212.9263.7270.3211.1244.8261.1297.2
14      Reinvested earnings on U.S. direct
          investment abroad
2.940.945.749.551.168.369.667.3
15   Less: Uses of property income (paid)2,178.42,790.83,215.82,729.92,031.01,877.31,890.01,876.5
16      Interest1,785.22,338.02,708.92,275.41,636.71,469.71,455.21,372.4
17      Distributed income of corporations385.1440.0497.4447.2390.6396.7419.7484.2
18         Dividends337.5390.0457.6424.2316.2311.8366.0431.9
19         Withdrawals from income of
             quasi-corporations (1)
47.750.039.823.074.484.953.852.3
20      Reinvested earnings on foreign direct
          investment
8.012.89.57.33.710.915.119.9
21      Rents on land and natural resources0.00.00.00.00.00.00.00.0
22Net national income/Balance of primary incomes,
    net
200.3205.2110.7-1.7290.8375.8324.9322.4
23Less: Current taxes on income, wealth, etc. (paid)140.5165.7151.781.791.6150.0151.9177.9
24Less: Other current transfers (paid)-13.4-21.17.546.026.918.419.8-12.0
25Equals: Disposable income, net73.160.6-48.5-129.4172.3207.4153.1156.5
26Equals: Net saving73.160.6-48.5-129.4172.3207.4153.1156.5
                                              
                                                 Capital account
27Net saving less capital transfers45.460.6-48.5-68.9294.2248.9185.5146.9
28   Net saving73.160.6-48.5-129.4172.3207.4153.1156.5
29   Less: Capital transfers paid (net)27.70.00.0-60.5-121.9-41.5-32.49.6
30Capital formation, net31.131.946.122.3-10.5-13.9-3.86.8
31   Gross fixed capital formation (nonresidential)180.0188.7211.5196.2166.9162.8175.2193.4
32   Less: Consumption of fixed capital148.9156.8165.4173.9177.4176.7179.0186.6
33Net lending (+) or borrowing (-), capital
    account (lines 27-30)
14.328.8-94.6-91.2304.7262.8189.3140.2
                                         Financial
                                           account
34Net lending (+) or borrowing (-) (line 33)14.328.8-94.6-91.2304.7262.8189.3140.2
35Net acquisition of financial assets3,754.84,600.35,517.54,254.3-1,235.334.82,217.21,980.4
36   Monetary gold0.00.00.00.00.00.00.00.0
37   Currency and deposits-12.374.8170.51,009.3228.5-143.4528.8-37.3
38   Debt securities652.71,109.41,052.01,240.7791.8834.11,362.61,089.0
39      SDR certificates0.00.00.00.03.00.00.00.0
40      Open market paper204.7241.1-95.5-8.1-396.8-103.3-75.9-4.5
41      Treasury securities52.085.436.0441.4365.6502.9974.8299.8
42      Agency- and GSE-backed securities (2)-249.397.0283.0725.3681.352.6159.4219.9
43      Municipal securities115.6131.2184.742.238.444.113.4137.9
44      Corporate and foreign bonds489.7519.0610.5-23.338.3272.1220.2395.5
45      Nonmarketable government securities40.035.833.363.361.965.770.840.4
46   Loans2,064.82,110.52,694.11,455.7-2,944.3-508.3151.8438.0
47      Short term653.2710.31,563.41,224.3-2,877.7-192.9306.9498.9
48      Long term (mortgages)1,411.61,400.21,130.7231.3-66.6-315.4-155.1-60.9
49   Equity and investment fund shares531.0505.71,224.8849.336.2-134.9-89.4194.7
50      Corporate equities283.7184.8422.1225.8166.186.1-64.181.4
51      Mutual fund shares47.097.190.051.163.512.1-59.67.0
52      Money market mutual fund shares12.0-6.6331.2283.6-174.6-172.5-71.4-35.0
53      Equity in government-sponsored enterprises
          (2)
2.00.08.3-5.30.0-3.2-6.2-2.0
54      U.S. direct investment abroad11.525.8107.066.440.7-2.39.222.5
55      Stock in Federal Reserve Banks1.61.83.12.64.60.90.40.5
56      Investment in subsidiaries173.2202.8263.1225.0-64.1-56.0102.4120.3
57   Insurance, pension and standardized guarantee
       schemes
194.1252.6199.2313.0471.5300.0344.9413.8
58   Other accounts receivable324.5547.3177.0-613.7181.0-312.7-81.6-117.6
59Net incurrence of liabilities3,414.54,345.95,399.94,415.8-1,263.362.02,186.11,873.7
60   Currency and deposits608.9620.6548.72,146.1262.3334.11,457.3595.0
61   Debt securities1,039.81,319.91,522.3442.0-956.5-693.7-325.8-302.9
62      Agency- and GSE-backed securities (2)80.4328.2905.7768.7-60.1-46.9-21.9-22.4
63      Corporate bonds745.2795.3728.1-201.4-448.4-544.6-235.8-221.7
64      Commercial paper214.2196.4-111.5-125.4-448.1-102.2-68.2-58.8
65   Loans547.3589.9882.8-155.5-1,646.0-59.6197.7130.7
66      Short term533.2583.4878.1-162.3-1,657.8-60.5184.3125.8
67      Long term (mortgages)14.16.64.76.811.80.813.54.8
68   Equity and investment fund shares698.0931.51,469.01,717.3271.073.8498.8980.3
69      Money market mutual fund shares125.1303.1736.8724.2-498.7-503.2-112.87.1
70      Corporate equity issues78.460.0179.6639.2316.4191.4164.1168.1
71      Mutual fund shares260.2336.8361.5-9.9497.1370.1338.4624.9
72      Equity in government-sponsored enterprises
          (2)
1.90.29.1-4.20.0-2.7-5.9-1.8
73      Foreign direct investment in the United
          States
13.952.09.3120.745.748.534.90.7
74      Equity in noncorporate business-1.2-6.83.611.60.60.9-1.76.5
75      Investment by parent218.1184.4166.1233.0-94.5-32.081.5174.4
76      Stock in Federal Reserve Banks1.61.83.12.64.60.90.40.5
77   Insurance, pension and standardized guarantee
       schemes
663.4666.7690.3633.5523.2628.3632.4498.8
78   Other accounts payable-142.8217.2286.8-367.6282.7-220.8-274.4-28.1
  Addendum:
79Net lending (+) or borrowing (-), financial
    account (lines 35-59)
340.3254.4117.6-161.528.0-27.331.1106.7
                       Other changes in volume
                         account
80Total other volume changes29.2-426.9-80.21,221.3-1,076.3-880.7-164.6-416.0
81   Disaster losses-1.70.00.0-0.60.00.00.0-2.0
82   Other volume changes-295.1-652.5-292.41,292.2-799.5-590.7-6.4-380.6
83   Less: Statistical discrepancy (lines 33-79) (3)-326.0-225.6-212.270.3276.8290.1158.233.4
                                           
                                              Revaluation account
84   Nonfinancial assets78.471.936.365.6-48.76.341.926.2
85      Structures (nonresidential)75.166.938.159.0-47.01.435.015.8
86      Equipment2.02.9-3.15.3-0.65.06.06.6
87      Intellectual property products1.22.11.41.3-1.00.00.93.7
88   Financial assets928.91,779.9760.0-5,991.22,683.01,726.1-583.61,804.6
89      Corporate equities614.41,456.5622.4-5,099.82,145.01,413.9-524.41,486.5
90      Mutual fund shares283.9287.791.8-902.2483.8271.5-46.8266.9
91      U.S. direct investment abroad30.735.745.810.854.240.7-12.351.2
92   Liabilities880.81,828.2-539.6-6,423.12,178.61,595.5-790.91,862.5
93      Corporate equity issues262.4716.1-985.4-2,366.0386.3525.9-373.5695.0
94      Mutual fund shares352.4682.6396.0-2,424.71,035.6582.2-340.4717.8
95      Foreign direct investment in the United
          States
9.422.5-56.7-157.617.934.135.915.5
96      Equity in noncorporate business1.74.8-0.6-13.63.60.3-1.1-1.0
97      Pension fund reserves254.8402.1107.0-1,461.2735.9455.0-111.4435.3
98      Investment by parent0.00.00.00.0-0.6-2.0-0.3-0.1
99Changes in net worth due to nominal holding
    gains/losses
126.523.61,336.0497.5455.7136.9249.2-31.7
                    Changes in balance sheet account
100Change in net worth (lines 30+33+80+99)201.1-342.61,207.31,649.9-326.4-494.9270.1-300.7
                       Balance sheet account (end
                         of period)
101Total assets57,064.862,898.169,121.669,085.870,074.571,144.472,797.777,063.2
102   Nonfinancial assets (4)1,409.51,513.31,595.71,683.01,623.81,616.31,654.41,685.4
103      Structures (nonresidential)841.3916.3969.31,035.8988.3979.31,001.81,005.8
104      Equipment447.3469.8487.8493.6468.4469.3479.9497.0
105      Intellectual property products120.8127.1138.5153.7167.1167.7172.7182.5
106   Financial assets55,655.461,384.967,525.967,402.768,450.769,528.171,143.375,377.9
107      Monetary gold11.011.011.011.011.011.011.011.0
108      Currency and deposits764.4814.1986.92,032.02,275.12,177.52,706.42,693.3
109      Debt securities14,670.215,693.316,745.317,988.518,802.919,058.020,420.321,601.7
110         SDR certificates2.22.22.22.25.25.25.25.2
111         Open market paper1,042.01,280.11,184.51,176.1779.4676.0600.1595.6
112         Treasury securities1,645.51,735.51,771.52,212.92,578.53,081.44,056.24,368.0
113         Agency- and GSE-backed securities (2)4,138.24,150.84,433.95,159.15,894.95,484.75,644.15,878.2
114         Municipal securities1,346.11,477.01,661.61,703.81,742.21,786.31,799.71,937.6
115         Corporate and foreign bonds5,613.46,129.16,739.66,719.26,725.56,881.57,101.47,563.1
116         Nonmarketable government securities882.9918.7952.01,015.31,077.21,142.91,213.71,254.1
117      Loans19,781.721,829.124,481.025,800.322,567.921,817.021,817.222,282.6
118         Short term8,152.18,775.610,328.611,552.68,622.48,503.88,810.89,482.6
119         Long term (mortgages)11,629.613,053.414,152.414,247.713,945.613,313.213,006.512,799.9
120      Equity and investment fund shares15,291.717,129.719,114.513,972.617,367.918,959.118,286.120,712.1
121         Corporate equities10,310.411,452.212,496.87,622.89,934.011,434.010,845.412,413.3
122         Mutual fund shares2,002.82,352.42,534.21,683.12,230.52,514.02,407.62,681.6
123         Money market fund shares516.4563.9895.01,178.61,004.0831.5760.1725.2
124         Equity in government-sponsored
             enterprises (2)
42.042.050.345.045.041.735.533.5
125         U.S. direct investment abroad446.0507.4660.2737.4832.3870.7867.5941.3
126         Stock in Federal Reserve Banks13.515.318.521.125.626.526.927.4
127         Investment in subsidiaries1,960.62,196.52,459.62,684.63,296.63,240.63,343.03,889.9
128      Insurance, pension and standardized
          guarantee schemes
2,112.22,150.42,243.63,992.23,826.74,158.74,533.94,583.9
129      Other accounts receivable3,024.13,757.23,943.63,606.03,599.03,346.83,368.43,493.3
130Total liabilities and net worth57,064.862,898.169,121.669,085.870,074.571,144.472,797.777,063.2
131   Liabilities58,133.964,309.869,326.067,640.368,955.470,520.171,903.476,469.6
132      Currency and deposits8,082.98,703.59,252.211,398.311,660.611,990.613,447.914,015.0
133      Debt securities11,964.713,254.814,888.015,249.814,497.113,432.113,032.312,850.8
134         Agency- and GSE-backed securities (2)6,140.76,468.97,374.68,143.48,083.37,574.07,552.17,529.7
135         Corporate bonds4,653.85,422.46,261.35,980.25,735.65,282.04,972.34,871.9
136         Commercial paper1,170.21,363.51,252.11,126.3678.2576.0507.9449.1
137      Loans5,029.85,616.56,499.36,343.84,768.44,720.74,913.15,106.5
138         Short term4,884.35,464.56,342.66,180.34,593.24,544.64,723.54,912.1
139         Long term (mortgages)145.5152.1156.7163.5175.3176.1189.5194.4
140      Equity and investment fund shares15,146.217,537.118,355.715,111.217,501.118,678.218,497.521,441.6
141         Money market fund shares1,993.12,296.33,033.03,757.33,258.62,755.42,642.52,649.6
142         Corporate equity issues4,631.95,408.04,602.22,875.43,578.14,295.44,085.94,949.1
143         Mutual fund shares6,045.67,065.07,822.65,388.06,920.77,873.07,870.99,323.6
144         Equity in government-sponsored
             enterprises (2)
46.746.956.051.851.849.043.141.2
145         Foreign direct investment in the United
             States
353.2427.8380.4343.5407.0489.6560.4576.6
146         Equity in noncorporate business11.79.712.610.714.815.913.118.6
147         Investment by parent2,050.42,268.12,430.52,663.53,244.53,173.43,254.63,855.6
148         Stock in Federal Reserve Banks13.515.318.521.125.626.526.927.4
149      Insurance, pension and standardized
          guarantee schemes
15,527.116,608.417,457.916,513.417,817.819,427.119,936.520,934.3
150      Other accounts payable2,383.22,589.42,873.03,023.82,710.32,271.52,076.12,121.5
151   Net worth-1,069.0-1,411.7-204.41,445.51,119.1624.2894.3593.6
       Footnotes


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