Integrated Macroeconomic Accounts for the United States Table

Table S.8 State and Local Governments
[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 added901.2949.31,001.81,043.71,098.81,156.41,226.01,291.0
2Less: Consumption of fixed capital116.0121.8127.3137.1150.1162.7177.9191.2
3Equals: Net value added785.2827.5874.5906.7948.7993.71,048.21,099.9
4   Compensation of employees (paid)777.1821.4871.2905.7948.6995.01,052.11,103.0
5      Wages and salaries622.3655.7678.4702.7728.1763.4805.9846.7
6      Employers' social contributions154.8165.7192.8203.0220.5231.6246.1256.4
7   Operating surplus, net8.06.13.31.00.1-1.3-3.9-3.2
8Net national income/Balance of primary
    incomes, net
649.9677.4709.5761.2832.0896.2938.5959.1
9   Operating surplus, net8.06.13.31.00.1-1.3-3.9-3.2
10   Taxes on production and imports,
       receivable
642.4676.0717.5769.1831.4887.4934.0955.3
11   Subsidies (paid)-7.7-0.9-0.1-0.4-0.4-0.4-7.1-3.0
12   Property income (received)90.079.674.077.188.3103.5114.2113.9
13      Interest82.171.564.666.776.490.9101.2100.1
14      Distributed income of
          corporations (dividends)
1.41.61.72.02.12.32.52.9
15      Rents on land and natural
          resources
6.56.67.68.59.810.310.511.0
16   Less: Uses of property income
       (interest paid)
83.083.585.185.687.393.098.7103.9
17Net national income/Balance of primary
    incomes, net
649.9677.4709.5761.2832.0896.2938.5959.1
18   Plus current taxes on income,
       wealth, etc. (received)
271.9252.7260.2290.3331.7361.6379.3380.9
19   Plus social benefits (received)13.715.920.124.124.821.819.821.1
20      Less: Social contributions (paid)305.1333.0353.4384.3404.8402.9433.7455.0
21   Plus other current transfers
       (received)
348.0382.3421.3439.4454.3456.7483.9506.1
22Equals: Disposable income, net978.3995.31,057.71,130.71,238.01,333.41,387.81,412.3
23   Less: Final consumption expenditures994.21,049.41,096.51,139.11,212.01,282.31,366.11,452.4
24Equals: Net saving-15.9-54.1-38.8-8.425.951.021.7-40.2
                       Capital account
25Net saving less capital transfers35.3-1.712.639.275.7108.480.821.5
26   Net saving-15.9-54.1-38.8-8.425.951.021.7-40.2
27   Less: Capital transfers paid (net)-51.2-52.4-51.5-47.5-49.8-57.4-59.1-61.7
28Capital formation, net134.6142.7143.7143.4141.7152.8169.0170.0
        Gross fixed capital formation
          (acquisition of
29      produced nonfinancial assets)240.5253.3259.6269.1281.6304.4333.7348.2
30   Less: Consumption of fixed capital116.0121.8127.3137.1150.1162.7177.9191.2
31   Acquisition of nonproduced
       nonfinancial assets
10.111.211.411.410.311.113.112.9
32Net lending or borrowing, capital
    account (lines 25-28)
-99.3-144.4-131.1-104.2-66.0-44.3-88.2-148.4
                    Financial account
33Net lending or borrowing (line 32)-99.3-144.4-131.1-104.2-66.0-44.3-88.2-148.4
34Net acquisition of financial assets98.776.679.1112.8211.4196.1168.5-18.2
35   Currency and deposits16.014.027.35.423.131.434.528.4
36      Currency and transferable deposits4.05.27.0-6.210.35.2-1.79.3
37      Time and savings deposits12.08.820.311.612.826.236.219.1
38   Securities other than shares94.791.549.864.2143.2104.031.0-94.3
39      Open market paper17.514.310.310.113.117.6-7.3-71.4
40      Treasury securities18.426.29.524.992.335.514.5-8.7
41      Agency- and GSE-backed securities 1 47.341.722.521.928.438.314.6-10.5
42      Municipal securities0.20.10.30.30.40.50.3-0.1
43      Corporate and foreign bonds11.39.17.16.99.012.18.8-3.6
44   Loans-11.7-21.716.416.020.827.920.2-19.8
45      Short term (security repurchases)-10.9-16.37.97.710.013.59.7-15.4
46      Long term (mortgages)-0.8-5.38.58.310.814.510.5-4.3
47   Shares and other equity7.714.0-18.2-1.58.31.18.126.9
48      Money market fund shares3.21.64.03.95.16.84.92.1
49      Corporate equities4.110.3-17.0-4.22.5-4.42.416.8
50      Mutual fund shares0.42.1-5.2-1.30.8-1.30.78.0
51   Other accounts receivable-8.1-21.23.828.816.131.674.840.5
52      Trade receivables6.02.68.17.910.213.810.0-4.4
53      Taxes receivable2.33.56.424.840.146.444.035.8
54      Other (miscellaneous assets)-16.4-27.2-10.7-3.9-34.2-28.720.89.1
55Net incurrence of liabilities132.5172.4149.0145.6203.9185.6223.281.6
56   Securities other than shares
       (municipals)
105.4143.4120.0115.1171.1150.6185.340.8
57      Short term23.825.210.4-5.95.7-3.117.312.0
58      Other81.6118.2109.6121.0165.3153.7168.028.9
59   Loans (short term)0.10.60.10.30.60.60.70.8
60   Other accounts payable (trade
       payables)
26.928.329.030.232.134.437.240.0
  Addendum:
61Net lending or borrowing, financial
    account (lines 34-55)
-33.7-95.7-70.0-32.87.610.4-54.7-99.9
           Other changes in volume account
62Total other volume changes57.237.750.150.677.546.122.336.5
63   Other volume changes-8.3-11.0-11.0-20.84.0-8.7-11.2-12.0
64   Less: Statistical discrepancy
       (lines 32-[34-55]) 2
-65.6-48.7-61.1-71.4-73.5-54.8-33.5-48.5
                    Revaluation account
65   Nonfinancial assets114.6113.093.0499.6424.6576.8438.5-291.7
66      Structures117.4114.393.8496.1422.0574.8436.5-300.4
67      Equipment and software-2.8-1.3-0.83.52.62.02.08.7
68   Shares and other equity-12.4-25.029.312.35.717.85.6-61.4
69Changes in net worth due to nominal
    holding gains/losses
102.288.0122.3512.0430.3594.6444.0-353.0
        Changes in balance sheet account
70Change in net worth (lines 28+32+62+69)194.7124.1185.0601.8583.6749.1547.1-295.0
           Balance sheet account (end of
             period)
71Total assets6,274.56,570.96,905.07,652.38,439.89,374.610,144.89,931.5
72   Nonfinancial assets 3 4,526.34,771.14,996.85,622.86,192.96,913.87,510.07,377.0
73      Structures4,322.04,560.84,780.85,404.35,963.36,672.57,257.67,108.7
74      Equipment and software204.3210.3216.1218.6229.6241.3252.4268.2
75   Financial assets1,748.21,799.91,908.22,029.52,246.92,460.72,634.82,554.5
76      Currency and deposits166.1180.1207.4212.8235.8267.2301.7330.2
77         Currency and transferable
             deposits
36.341.548.442.252.557.756.165.4
78         Time and savings deposits129.8138.7159.0170.6183.3209.5245.7264.8
79      Securities other than shares851.5943.0992.71,056.91,200.11,304.21,335.21,240.9
80         Open market paper136.9151.3161.6171.7184.8202.4195.2123.8
81         Treasury securities328.4354.7364.2389.1481.4516.9531.5522.7
82         Agency- and GSE-backed
             securities 1
287.0328.8351.2373.2401.6439.9454.6444.1
83         Municipal securities4.04.14.44.75.05.55.85.7
84         Corporate and foreign bonds95.1104.2111.3118.2127.2139.4148.1144.5
85      Loans261.6239.9256.3272.3293.1321.0341.2321.5
86         Short term (security
             repurchases)
131.9115.6123.5131.2141.2154.6164.3148.9
87         Long term (mortgages)129.7124.4132.9141.2151.9166.4176.9172.6
88      Shares and other equity173.2162.2173.3184.1198.1217.0230.7196.2
89         Money market fund shares57.158.762.766.671.778.583.585.6
90         Corporate equities88.079.384.790.096.8106.0112.783.1
91         Mutual fund shares28.124.325.927.529.632.534.527.5
92      Other accounts receivable295.8274.6278.4303.4319.7351.3426.0465.8
93         Trade receivables115.9118.4126.5134.4144.7158.5168.4164.0
94         Taxes receivable50.159.573.699.6141.0189.0237.5269.8
95         Other (miscellaneous assets)129.896.778.369.334.03.720.131.9
96Total liabilities and net worth6,274.56,570.96,905.07,652.38,439.89,374.610,144.89,931.5
97   Liabilities1,665.91,838.21,987.32,132.82,336.72,522.32,745.52,827.2
98      Securities other than shares
          (municipals)
1,294.51,437.91,557.91,673.01,844.11,994.72,179.92,220.8
99         Short term70.595.7106.1100.2105.9102.8120.1132.1
100         Other1,224.01,342.21,451.81,572.81,738.21,891.92,059.82,088.7
101      Loans (short term)9.09.69.710.010.611.211.912.7
102      Other accounts payable (trade
          payables)
362.4390.7419.7449.9482.0516.4553.7593.7
103   Net worth4,608.64,732.74,917.75,519.56,103.16,852.27,399.37,104.3
       Footnotes

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