Integrated Macroeconomic Accounts for the United States Table

S.8.a State and Local Governments
[Billions of dollars]
Today is: 9/22/2014   Last Revised on June 16, 2014  
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Line      2005       2006       2007       2008       2009       2010       2011       2012   
                                              
                                                 Current account
1Gross value added1,191.71,250.31,318.51,385.21,419.41,454.21,468.01,491.9
2Less: Consumption of fixed capital157.3170.3186.6200.2208.2212.7221.7231.4
3Equals: Net value added1,034.41,080.01,131.91,185.01,211.31,241.51,246.31,260.6
4   Compensation of employees (paid)1,041.81,091.11,150.41,207.11,232.61,261.31,262.81,274.8
5      Wages and salaries728.0763.3805.6847.4862.9862.6862.8869.3
6      Employers' social contributions313.7327.8344.9359.7369.7398.7400.0405.5
7   Operating surplus, net-7.3-11.1-18.5-22.0-21.4-19.8-16.5-14.3
8Net national income/Balance of primary incomes,
    net
804.2868.3910.7901.6811.0829.5858.5857.7
9   Operating surplus, net-7.3-11.1-18.5-22.0-21.4-19.8-16.5-14.3
10   Taxes on production and imports, receivable835.1892.7940.0947.9934.8960.4988.51,004.9
11   Subsidies (paid)-0.4-0.4-7.1-3.0-1.4-1.6-0.5-0.5
12   Property income (received)88.6107.2117.9105.787.882.680.078.5
13      Interest76.894.7104.291.074.469.166.364.2
14      Distributed income of corporations
          (dividends)
2.02.12.22.62.12.32.32.4
15      Rents on land and natural resources9.810.411.512.111.211.211.411.9
16   Less: Uses of property income (interest paid)111.8120.1121.5127.0188.8192.1192.9211.0
17Net national income/Balance of primary incomes,
    net
804.2868.3910.7901.6811.0829.5858.5857.7
18Plus: Current taxes on income, wealth, etc.
    (received)
331.4361.7381.4381.0333.4345.3377.7400.2
19Plus: Social benefits (received)24.621.518.918.718.618.118.317.5
20Less: Social contributions (paid)406.6403.9433.3455.4492.6523.8532.0544.3
21Plus: Other current transfers (received)436.4438.9460.9477.8566.1612.0581.8552.6
22Equals: Disposable income, net1,190.01,286.51,338.61,323.71,236.41,281.01,304.31,283.7
23Less: Final consumption expenditures1,256.61,325.91,411.41,488.71,508.41,518.31,517.41,536.4
24Equals: Net saving-66.6-39.4-72.7-165.1-271.9-237.3-213.1-252.7
                                              
                                                 Capital account
25Net saving less capital transfers-16.218.4-13.4-101.8-204.2-160.6-139.2-178.6
26   Net saving-66.6-39.4-72.7-165.1-271.9-237.3-213.1-252.7
27   Less: Capital transfers paid (net)-50.4-57.8-59.3-63.2-67.7-76.7-73.9-74.1
28Capital formation, net143.5155.0167.9172.5167.2149.7125.7113.8
        Gross fixed capital formation (acquisition
          of
29   produced nonfinancial assets)290.8314.3340.8358.8363.0351.9337.2334.9
30   Less: Consumption of fixed capital157.3170.3186.6200.2208.2212.7221.7231.4
31   Acquisition of nonproduced nonfinancial assets10.011.013.613.812.310.610.110.2
32Net lending (+) or borrowing (-), capital
    account (lines 25-28)
-159.7-136.6-181.2-274.3-371.4-310.3-264.8-292.4
                                         Financial
                                           account
33Net lending (+) or borrowing (-) (line 32)-159.7-136.6-181.2-274.3-371.4-310.3-264.8-292.4
34Net acquisition of financial assets254.1205.0238.6-102.914.470.1-16.869.0
35   Currency and deposits19.022.332.827.028.9-0.732.010.2
36      Currency and transferable deposits15.85.4-0.28.519.25.716.8-9.0
37      Time and savings deposits3.216.833.018.59.7-6.315.219.2
38   Debt securities155.6109.9135.6-92.2-42.551.1-52.225.6
39      Open market paper-0.1-1.4-2.3-22.0-39.113.0-11.2-7.2
40      Treasury securities107.358.377.4-46.5-17.46.8-32.739.2
41      Agency- and GSE-backed securities (1)35.739.044.5-18.49.722.5-7.8-10.0
42      Municipal securities1.21.41.60.41.01.40.30.3
43      Corporate and foreign bonds11.512.614.4-5.73.37.4-0.83.3
44   Loans20.321.825.0-16.34.111.7-1.810.8
45      Short term5.75.76.2-12.1-4.3-1.4-3.64.7
46      Long term (mortgages)14.616.118.8-4.38.413.01.86.0
47   Equity and investment fund shares21.523.827.3-5.99.116.31.08.1
48      Money market fund shares13.615.417.92.69.813.73.45.4
49      Corporate equities4.44.55.0-7.9-2.3-0.2-2.61.8
50      Mutual fund shares3.53.94.4-0.71.72.80.20.9
51   Other accounts receivable37.727.317.9-15.414.8-8.34.214.3
52      Trade receivables17.48.97.8-15.4-4.613.12.35.7
53      Taxes receivable14.312.13.05.2-5.81.12.22.1
54      Other (miscellaneous assets)6.06.47.2-5.325.2-22.4-0.36.5
55Net incurrence of liabilities230.7209.4298.7219.6455.7383.5296.5328.9
56   Debt securities (municipals)141.1100.3146.017.1112.268.7-53.6-5.7
57      Short term-1.7-8.216.84.67.8-0.7-10.63.8
58      Other142.8108.5129.212.5104.469.3-42.9-9.4
59   Loans (short term)0.60.60.70.80.80.90.90.4
60   Insurance, pension and standardized guarantee
       schemes
57.174.2115.3163.0303.7275.4310.7295.1
     (Claim of pension funds on sponsor)
61   Other accounts payable (trade payables)31.934.336.738.638.938.538.439.1
  Addendum:
62Net lending (+) or borrowing (-), financial
    account (lines 34-55)
23.4-4.3-60.1-322.5-441.2-313.3-313.3-259.9
                       Other changes in volume
                         account
63Total other volume changes215.9323.4229.7-976.4357.234.3-44.4321.6
64   Disaster losses-10.70.00.00.00.00.00.0-7.6
65   Other volume changes43.5191.1108.5-928.2427.137.44.0296.8
66   Less: Statistical discrepancy (lines 32-62) (2)-183.1-132.3-121.248.269.93.148.4-32.4
                                           
                                              Revaluation account
67Nonfinancial assets473.4605.0460.9411.4-105.1175.7392.5225.4
68   Structures472.2602.7457.9403.0-104.3171.9386.1225.3
69   Equipment0.41.10.66.6-1.12.44.6-1.3
70   Intellectual property products0.81.12.41.80.31.41.91.3
71Equity and investment fund shares5.416.95.1-61.033.421.61.918.5
72Changes in net worth due to nominal holding
    gains/losses
478.9621.8466.0350.4-71.8197.3394.4243.9
                    Changes in balance sheet account
73Change in net worth (lines 28+32+63+72)678.5963.6682.3-727.781.371.1210.9386.9
                       Balance sheet account (end
                         of period)
74Total assets8,576.99,547.810,406.310,811.110,905.011,307.911,798.312,223.4
75   Nonfinancial assets (3)6,259.07,008.07,623.18,193.38,243.08,557.59,065.29,386.3
76      Structures5,976.86,715.17,314.87,863.37,903.68,207.78,703.79,020.8
77      Equipment206.9212.7221.5236.4240.9245.4250.8249.8
78      Intellectual property products75.380.286.993.698.5104.4110.7115.7
79   Financial assets2,317.92,539.82,783.22,617.82,662.02,750.32,733.12,837.1
80      Currency and deposits236.1258.3291.1318.1347.0346.3378.3407.7
81         Currency and transferable deposits66.271.671.479.899.0104.7121.5117.8
82         Time and savings deposits169.9186.7219.8238.3248.0241.6256.8289.8
83      Debt securities1,217.11,327.01,462.61,370.41,327.91,379.01,326.81,352.4
84         Open market paper153.2151.8149.5127.588.4101.490.283.0
85         Treasury securities512.2570.5647.9601.4584.0590.8558.1597.3
86         Agency- and GSE-backed securities (1)413.3452.3496.7478.3488.0510.5502.6492.6
87         Municipal securities6.98.310.010.411.412.813.113.4
88         Corporate and foreign bonds131.4144.0158.4152.8156.1163.5162.7166.0
89      Loans288.8310.6335.2317.0317.7326.3322.2331.0
90         Short term130.0135.7141.9129.8125.5124.1120.5125.2
91         Long term (mortgages)158.9174.9193.3187.3192.2202.2201.7205.8
92      Equity and investment fund shares246.6287.2319.7252.7295.2333.1336.0362.6
93         Money market fund shares89.9105.2123.1125.7135.5149.2152.6158.0
94         Corporate equities116.1132.9141.690.8111.4125.7124.4138.4
95         Mutual fund shares40.749.155.036.248.358.158.966.1
96      Other accounts receivable329.3356.7374.6359.6374.3365.6369.8383.4
97         Trade receivables142.5151.3159.1143.7139.1152.2154.5160.3
98         Taxes receivable102.3114.4117.4123.0117.1117.8120.0121.3
99         Other (miscellaneous assets)84.590.998.292.9118.195.695.4101.8
100Total liabilities and net worth8,576.99,547.810,406.310,811.110,905.011,307.911,798.312,223.4
101   Liabilities3,385.93,393.23,569.44,702.04,714.65,046.45,325.95,364.1
102      Debt securities (municipals)2,579.22,679.62,825.62,842.72,954.93,023.62,970.02,964.3
103         Short term42.534.351.255.863.663.052.356.1
104         Other2,536.72,645.22,774.42,786.92,891.32,960.62,917.62,908.2
105      Loans (short term)10.611.211.912.713.514.415.315.7
106      Insurance, pension and standardized
          guarantee schemes
314.0186.2178.91,255.01,115.71,339.41,633.21,637.5
           (Claim of pension funds on sponsor)
107      Other accounts payable (trade payables)482.0516.2553.0591.6630.5669.0707.4746.5
108   Net worth5,191.06,154.66,836.96,109.16,190.46,261.56,472.46,859.3
       Footnotes


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