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Integrated Macroeconomic Accounts for the United States Table

S.3.q Households and Nonprofit Institutions Serving Households
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 11/24/2017   Last Revised on September 27, 2017 

Data Table Options
First Year Last Year Series: Annual(A)  Quarterly(Q) Monthly(M)
Get all years    

Line      2008   
I
   2008   
II
   2008   
III
   2008   
IV
   2009   
I
   2009   
II
   2009   
III
   2009   
IV
   2010   
I
   2010   
II
   2010   
III
   2010   
IV
   2011   
I
   2011   
II
   2011   
III
   2011   
IV
   2012   
I
   2012   
II
   2012   
III
   2012   
IV
                                              
                                                 Current account
1Gross value added1,814.61,842.61,867.11,896.61,895.51,909.61,917.61,931.81,918.31,926.31,932.71,937.91,953.91,970.61,983.31,989.72,013.52,021.02,034.02,049.1
2Less: Consumption of fixed capital417.3416.7414.0410.2406.7403.0400.5402.9402.3399.5399.3400.9399.0398.0397.6398.4399.4401.9406.3410.8
3Equals: Net value added1,397.31,425.91,453.11,486.41,488.81,506.61,517.11,528.91,516.01,526.81,533.41,537.01,554.91,572.61,585.71,591.31,614.11,619.11,627.71,638.3
4   Compensation paid by households and NPISHs642.3650.9661.1678.5673.2686.0687.8699.5684.1693.8702.9704.9712.0722.0730.7731.1751.0754.6760.7770.3
5   Taxes on production and imports less subsidies140.6142.3144.5145.4149.3152.3153.7154.3153.1152.6152.5152.9153.9154.9155.2155.8156.0156.1156.4155.5
6   Operating surplus, net614.4632.7647.5662.5666.3668.2675.7675.0678.8680.3678.0679.1689.0695.7699.8704.4707.1708.4710.6712.5
7Net national income/Balance of primary incomes,
    net
11,253.111,271.011,293.411,173.210,715.710,634.310,578.910,644.610,653.210,841.610,952.511,110.811,379.411,502.511,669.311,713.012,023.512,162.912,217.012,672.4
8   Operating surplus, net614.4632.7647.5662.5666.3668.2675.7675.0678.8680.3678.0679.1689.0695.7699.8704.4707.1708.4710.6712.5
9   Compensation of employees (received)8,077.98,077.38,094.98,062.87,762.47,790.57,774.07,821.07,801.77,947.18,019.18,077.98,209.78,248.98,332.08,285.48,504.08,550.08,587.68,798.0
10      Wages and salaries6,539.06,531.66,543.96,512.96,230.66,256.36,238.96,279.86,239.66,365.56,426.46,478.66,583.66,615.56,689.66,643.96,841.16,878.56,906.87,094.6
11      Employers' social contributions1,538.91,545.71,551.01,549.91,531.81,534.21,535.01,541.31,562.11,581.61,592.81,599.31,626.11,633.41,642.41,641.61,662.91,671.51,680.81,703.4
12   Property income received, net2,560.72,561.02,550.92,447.92,287.02,175.52,129.32,148.52,172.82,214.22,255.32,353.82,480.62,557.92,637.42,723.22,812.42,904.42,918.93,161.9
13Net national income/Balance of primary incomes,
    net
11,253.111,271.011,293.411,173.210,715.710,634.310,578.910,644.610,653.210,841.610,952.511,110.811,379.411,502.511,669.311,713.012,023.512,162.912,217.012,672.4
14Less: Current taxes on income, wealth, etc. (paid)1,535.81,545.01,505.81,444.61,202.81,132.51,133.81,139.91,193.41,215.71,257.21,290.71,425.41,443.11,470.71,473.51,472.41,492.81,511.71,568.7
15Plus: Social benefits (received)1,768.82,111.71,906.21,893.02,002.02,139.32,139.42,154.72,260.52,266.82,292.92,306.72,314.62,310.72,302.72,312.92,297.72,321.32,327.12,348.4
16Less: Social contributions (paid)986.5987.2990.7988.6961.3966.3963.4966.6972.0984.0988.4992.0913.6916.3924.1917.2941.6944.9948.0971.8
17Plus: Other current transfers (received)35.336.337.137.837.938.338.939.740.641.943.346.149.451.151.149.445.743.141.440.7
18Less: Other current transfers (paid)162.4157.7157.8153.4157.4163.5158.8159.8162.0158.5157.5156.6152.4154.2155.2162.5168.8175.5173.7182.0
19Equals: Disposable income, net10,372.510,729.110,582.410,517.410,434.110,549.610,501.310,572.710,626.910,792.010,885.511,024.311,251.911,350.711,473.111,522.011,784.211,914.111,952.112,338.9
20Less: Final consumption expenditures9,974.410,095.810,124.99,859.69,770.29,769.89,890.89,957.110,044.510,137.710,233.410,393.210,523.510,651.410,754.510,827.910,956.211,008.311,073.611,164.3
21Equals: Net saving398.1633.4457.5657.8663.9779.8610.4615.6582.4654.4652.1631.1728.4699.3718.6694.2828.0905.7878.51,174.6
                                              
                                                 Capital account
22Net saving less capital transfers383.9615.9480.8635.6648.1766.0701.0668.1638.4664.8648.8650.5725.2697.9719.5689.9821.5897.7868.01,219.8
23   Net saving398.1633.4457.5657.8663.9779.8610.4615.6582.4654.4652.1631.1728.4699.3718.6694.2828.0905.7878.51,174.6
24   Less: Capital transfers paid (net)14.217.5-23.222.215.813.8-90.6-52.6-56.0-10.43.4-19.33.21.5-0.94.36.58.010.5-45.2
25Capital formation, net194.4173.1149.0103.067.943.756.552.743.260.331.638.633.341.050.059.084.586.793.3107.0
26   Gross fixed capital formation, excluding
       consumer durables
622.8600.8573.9524.2484.9456.5466.5464.8454.3468.4439.1447.6440.5446.9455.3464.9491.6496.4507.5525.8
27      Residential467.1444.2417.9372.0332.5308.0320.6323.0320.3334.6305.3312.9312.0317.0323.3332.3351.6356.9369.8393.5
28      Nonresidential (nonprofit organizations)155.6156.6156.1152.3152.3148.5145.8141.7134.0133.8133.8134.8128.5129.9132.1132.6140.0139.5137.8132.3
29   Less: Consumption of fixed capital417.3416.7414.0410.2406.7403.0400.5402.9402.3399.5399.3400.9399.0398.0397.6398.4399.4401.9406.3410.8
30   Acquisition of nonproduced nonfinancial assets-11.1-11.0-10.9-11.0-10.3-9.8-9.5-9.2-8.9-8.6-8.3-8.2-8.2-7.9-7.7-7.5-7.7-7.8-7.9-8.0
31Net lending (+) or borrowing (-), capital
    account (lines 22-25)
189.5442.7331.8532.6580.2722.3644.5615.5595.2604.4617.2611.9691.9656.9669.5630.8737.0811.1774.71,112.8
                                         Financial
                                           account
32Net lending (+) or borrowing (-) (line 31)189.5442.7331.8532.6580.2722.3644.5615.5595.2604.4617.2611.9691.9656.9669.5630.8737.0811.1774.71,112.8
33Net acquisition of financial assets1,843.8984.11,950.7512.21,188.4410.9105.71,038.4583.9977.7280.01,096.3836.41,716.02,035.01,153.7415.32,130.9860.61,278.6
34   Currency and deposits845.8-2.9472.7352.8253.7299.0-138.7374.2104.6154.0318.5256.2429.21,059.2530.5622.2579.6570.9198.8927.7
35      Currency and transferable deposits209.158.3-64.5503.7135.2292.218.0-42.5-88.054.060.1130.0198.0278.1557.5167.2229.3121.233.3276.7
36      Foreign deposits-14.6-22.2-31.9-2.5-17.50.31.7-13.2-17.011.510.113.69.3-17.2-3.7-28.1-4.4-22.25.4-10.2
37      Time and savings deposits651.3-39.0569.1-148.4136.16.6-158.4429.9209.688.6248.3112.5221.9798.3-23.4483.1354.8471.9160.1661.3
38      Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
39   Debt securities-17.8891.51,250.91,727.3718.7-1,465.0-33.0401.4-155.4356.3-984.7433.0-588.0-189.01,117.5266.9-1,128.1993.0-325.8184.0
40      Treasury securities67.4391.0-14.5325.3868.0-28.6588.9579.8233.11,046.6-9.8-82.7-877.8-316.0329.7232.0-283.5700.9-145.1627.6
41      Agency- and GSE-backed securities (1)32.4174.4704.7342.2-931.0-1,283.5-164.0-230.164.8-360.9-15.5264.6667.2-39.3120.1-334.0-384.3152.5172.3-169.3
42      Municipal securities-83.9127.224.1156.2197.8103.0148.8183.4114.518.211.7138.7-9.0-48.99.1-3.7-143.4-12.5-151.5-177.3
43      Corporate and foreign bonds-33.8198.9536.6903.6584.0-255.9-606.7-131.7-567.7-347.6-971.1112.3-368.3215.2658.7372.5-316.8152.0-201.5-96.9
44   Loans521.0-55.467.3-1,114.5-277.646.7117.0-2.113.511.439.83.623.7188.540.7-253.322.647.47.7-7.2
45      Short term530.1-83.234.1-1,125.0-297.128.299.5-20.10.64.631.89.817.6184.630.4-257.334.761.819.95.4
46      Long term (mortgages)-9.027.833.210.519.518.517.518.012.96.78.0-6.16.23.910.34.0-12.1-14.3-12.2-12.6
47   Equity and investment fund shares-107.8-440.8-661.0-1,076.23.0962.3-367.4-346.429.7-165.9168.9-215.3399.891.2-391.3-85.4398.4218.0490.0-335.6
48      Corporate equities-407.4-245.2-406.9-706.4128.3772.7-231.9-366.8-229.6-290.6-149.9-335.9-54.8-416.1-835.9-234.3-202.8-83.932.8-691.0
49      Mutual fund shares33.0272.3-128.2-405.2-103.8489.6548.3512.4328.463.2290.3200.3163.5194.7213.4130.3436.2182.5422.9260.9
50      Money market fund shares610.6-155.9179.5298.495.5-186.5-572.1-408.3-257.2-110.2-130.8-245.374.686.1-6.3-228.840.929.4-38.437.0
51      Equity in noncorporate business-344.1-312.0-305.4-263.0-116.9-113.4-111.8-88.4181.5166.6156.8164.0216.7225.5236.5247.3125.590.279.562.6
52      Equity investment under Public-Private
          Inv. Program (2)
0.00.00.00.00.00.00.04.86.75.12.51.5-0.21.11.00.1-1.4-0.2-6.8-5.2
53   Insurance, pension and standardized guarantee
       schemes
595.2584.3813.3615.2491.2568.6528.7612.0585.2615.6731.2612.4557.5551.7723.1588.8533.8292.6480.9500.6
54      Insurance receivables due from
          property-casualty insurance companies
11.618.928.2-14.78.510.713.12.6-40.0-25.9-28.9-46.210.035.624.040.7-32.5-19.0-20.00.8
55      Life insurance reserves25.139.170.093.858.7-3.6-6.233.6-3.9-1.042.8-8.745.354.6113.766.0-54.1-75.2-4.211.5
56      Pension entitlements (3)494.2501.8656.0507.7409.1538.6476.9558.7603.4605.0654.8634.5469.9467.8505.5454.8605.3383.7477.6487.6
57      Non-life insurance reserves at life
          insurance companies
42.74.515.67.69.05.922.8-4.08.222.328.99.111.610.726.99.8-0.2-15.119.0-10.8
58      Retiree Health Care Funds21.520.143.520.96.017.022.221.117.615.233.623.620.6-17.053.017.515.318.18.511.5
59   Other accounts receivable (trade receivables)7.57.57.67.6-0.8-0.8-0.8-0.86.26.36.36.314.214.314.514.59.09.09.19.1
60Net incurrence of liabilities725.7-87.7531.2-1,053.6-102.2202.3117.4155.9-337.341.6-127.977.4168.7-147.3-272.0126.1292.4264.5155.7378.6
61   Debt securities (municipals)12.341.9-9.8-2.31.915.07.13.75.5-7.9-10.77.7-0.7-4.8-19.7-5.9-7.1-18.6-13.3-17.4
62   Loans684.0-155.3517.3-1,082.2-143.3152.369.8119.6-324.075.1-76.190.6148.2-164.3-267.5112.1285.1268.5160.2402.6
63      Short term346.8-306.1462.8-965.7-272.829.261.871.431.8117.168.4181.2205.0-110.2-190.4170.5342.3317.8231.0472.5
64         Consumer credit145.865.4-26.6-47.4-87.6-150.1-72.4-68.2-87.3-68.9-3.447.0104.587.198.9153.5136.6187.5142.5189.0
65         Depository institution loans n.e.c.37.8-83.042.021.7-64.3124.033.819.9143.3101.90.5-45.1-50.6-187.8-49.368.291.4223.9-12.9140.8
66         Other loans and advances163.2-288.5447.4-940.0-120.955.3100.5119.7-24.284.171.3179.3151.1-9.4-240.0-51.2114.2-93.6101.3142.6
67      Long term (mortgages)337.1150.854.5-116.5129.4123.18.048.2-355.8-42.1-144.5-90.6-56.7-54.1-77.1-58.5-57.2-49.3-70.8-69.9
68   Insurance, pension and standardized guarantee
       schemes
5.31.6-0.76.5-2.1-6.7-1.6-9.410.03.6-11.68.61.51.9-5.0-0.37.37.41.6-13.8
69   Other accounts payable (trade debt)24.124.124.424.441.241.742.142.1-28.8-29.1-29.5-29.519.719.920.220.27.17.17.27.2
  Addendum:
70Net lending (+) or borrowing (-), financial
    account (lines 33-60)
1,118.11,071.81,419.51,565.81,290.7208.6-11.7882.5921.2936.1407.91,018.9667.61,863.32,307.01,027.6122.81,866.4704.9900.0
                       Other changes in volume
                         account
71Total other volume changes305.9382.2719.8102.5748.6-366.0-393.2106.6179.5-54.4-55.9853.496.490.9153.499.8-58.541.4110.594.9
72   Net investment in consumer durable goods48.843.132.610.19.98.417.614.315.020.322.628.930.728.127.832.341.640.041.244.2
73   Disaster losses0.00.0-8.30.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-20.9
74   Other volume changes20.2258.6375.2-189.5547.2-164.5-295.06.166.7-73.8-69.1698.231.1-142.9-296.1-74.6-16.0-139.094.962.4
75   Less: Statistical discrepancy ((lines
       31-70)/4) (4)
-236.9-80.5-320.3-282.0-191.5210.0115.8-86.1-97.90.99.5-126.3-34.6-205.6-421.7-142.184.2-140.425.6-9.1
                                           
                                              Revaluation account
76   Nonfinancial assets-984.3-1,087.4-820.7-1,070.4-636.1-290.0-152.565.7-79.3-14.0-340.7-156.4-93.1-0.867.652.4201.7409.2384.8354.9
77      Real estate-983.8-1,066.3-824.6-1,053.4-613.4-283.0-119.750.6-59.411.9-313.6-138.1-97.9-31.267.065.8202.7421.7403.0364.1
78      Consumer durable goods1.7-18.93.4-18.2-22.4-5.3-30.317.2-15.8-25.7-26.9-19.94.029.0-0.5-14.9-1.3-12.1-18.5-9.6
79      Equipment-2.5-2.20.82.60.6-0.8-1.7-2.8-3.5-0.40.60.9-0.10.70.61.3-0.3-0.9-0.20.7
80      Intellectual property products0.30.0-0.2-1.3-1.0-0.9-0.80.7-0.50.1-0.80.70.90.60.60.20.60.50.4-0.3
81   Financial assets-1,904.3-837.4-2,162.6-3,492.3-1,594.41,402.71,796.6457.5629.9-1,235.11,713.01,534.11,115.5129.6-2,634.31,285.82,163.0-500.11,266.4392.8
82      Corporate equities-882.5-438.9-1,043.4-1,668.4-893.41,046.61,217.7244.1372.4-750.11,006.3985.3646.433.0-1,552.3699.41,181.5-396.5559.2197.9
83      Mutual fund shares-319.7-39.2-474.7-657.3-175.6369.5414.5110.7132.5-286.4349.8210.9165.011.5-540.4217.2401.6-136.8222.329.5
84      Equity in noncorporate business-321.3-293.2-182.6-428.4-294.6-417.3-299.9-34.7-27.8141.4-13.643.7101.580.143.384.8144.4183.6246.5138.0
85      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.00.00.0-0.3-0.5-0.3-0.1-0.11.0-0.1-0.10.00.00.00.00.0
86      Insurance, pension and standardized
          guarantee schemes
-380.8-66.0-461.9-738.2-230.8403.8464.3137.8153.2-339.7370.6294.4201.65.1-584.9284.4435.4-150.5238.527.4
87Changes in net worth due to nominal holding
    gains/losses
-2,888.6-1,924.8-2,983.3-4,562.7-2,230.51,112.71,644.1523.2550.6-1,249.11,372.21,377.81,022.4128.8-2,566.81,338.22,364.7-90.91,651.3747.7
                    Changes in balance sheet account
88Change in net worth ((lines 25+31)/4 + lines
    71+87) (5)
-2,453.5-1,390.5-2,157.4-4,318.4-1,278.4928.41,411.2780.1947.3-1,149.21,455.72,371.01,361.8381.8-2,256.41,584.12,566.6162.91,959.01,124.3
                       Balance sheet account (end
                         of period)
89Total assets78,854.777,387.575,373.470,757.569,303.970,213.571,630.072,398.473,217.072,014.473,429.075,760.677,077.677,380.175,052.676,658.279,207.679,394.481,330.982,540.6
90   Nonfinancial assets27,202.126,200.125,440.624,408.823,799.923,530.623,409.623,502.523,451.223,462.723,156.323,040.222,983.623,021.223,130.623,228.823,492.323,962.924,412.224,816.4
91      Real estate22,337.521,306.920,504.719,474.618,874.418,599.018,488.018,546.118,495.818,509.018,202.718,071.717,975.617,950.918,027.918,103.218,321.818,760.819,183.419,549.8
92      Consumer durable goods4,526.64,550.84,586.84,578.64,566.14,569.24,556.64,588.14,587.34,581.94,577.64,586.74,621.44,678.64,705.84,723.34,763.64,791.54,814.34,848.9
93      Equipment248.9252.1257.7264.0267.5269.7271.3271.9270.6272.7276.2280.1282.5285.6288.9293.0295.4297.2299.3301.8
94      Intellectual property products89.190.391.591.691.992.793.796.497.699.199.7101.8104.1106.1108.0109.4111.5113.4115.2115.9
95   Financial assets51,652.751,187.449,932.846,348.745,504.046,682.948,220.448,895.949,765.948,551.750,272.752,720.454,094.054,358.951,922.053,429.455,715.355,431.556,918.857,724.2
96         Currency and deposits6,405.36,299.86,420.26,591.36,627.56,636.66,604.86,773.96,792.86,771.56,854.36,932.97,041.87,250.87,381.47,585.97,696.57,781.67,813.28,096.4
97            Currency and transferable deposits168.7132.5106.1295.0291.8348.3343.5395.7336.8335.2341.3423.5436.5492.8623.1716.5722.8742.2741.8868.0
98            Foreign deposits84.178.570.569.965.565.666.062.758.561.363.967.369.665.364.457.456.350.752.049.5
99            Time and savings deposits6,152.56,088.76,243.56,226.46,270.26,222.76,195.36,315.46,397.66,375.06,449.16,442.26,535.66,692.76,694.06,812.16,917.56,988.77,019.37,179.0
100         Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
101      Debt securities3,962.74,431.55,152.45,203.45,866.95,267.14,961.84,870.44,856.54,687.74,239.64,761.74,700.34,446.54,393.64,250.14,073.24,105.74,031.34,037.9
102         Treasury securities166.0318.7307.6138.9475.2543.7701.2845.3964.11,071.41,036.21,084.0971.9793.9662.8661.1740.9782.9748.2914.9
103         Agency- and GSE-backed securities (1)703.0800.41,029.7991.3781.9471.7428.0317.0336.0213.9196.6268.9446.8416.6411.0294.7207.0223.7257.8202.8
104         Municipal securities1,778.41,818.91,850.91,917.81,940.01,962.61,933.61,993.62,033.92,032.92,002.12,072.32,075.42,032.41,997.21,966.41,938.51,936.21,876.71,824.5
105         Corporate and foreign bonds1,315.31,493.61,964.12,155.52,669.92,289.11,899.01,714.51,522.61,369.51,004.61,336.51,206.21,203.61,322.61,327.91,186.81,162.91,148.81,095.8
106      Loans1,240.11,226.31,243.1964.4895.0906.7935.9937.7941.1944.0953.9954.8960.81,007.91,018.1954.8949.3961.2963.1961.3
107         Short term1,149.61,128.81,137.3856.1781.8788.9813.7811.0811.2812.4820.3822.7827.1873.3880.9816.6814.2829.6834.6836.0
108         Long term (mortgages)90.597.5105.7108.3113.2117.8122.2126.7129.9131.6133.6132.1133.6134.6137.2138.2135.2131.6128.5125.4
109      Equity and investment fund shares23,218.722,319.320,461.617,497.116,138.917,357.018,613.318,908.719,348.718,382.719,782.921,041.722,016.222,123.919,993.321,046.222,837.322,495.523,661.224,008.4
110         Corporate equities9,067.08,548.67,420.55,600.24,765.35,987.37,163.97,340.87,632.16,791.77,776.98,703.29,312.39,223.37,478.28,190.69,297.58,862.19,445.39,496.5
111         Mutual fund shares4,054.14,106.43,580.22,795.12,618.43,129.73,661.83,875.64,120.23,863.24,263.14,503.04,745.04,811.64,299.94,489.05,041.44,953.45,250.35,331.3
112         Money market fund shares1,448.11,384.81,442.81,575.21,550.01,477.81,350.21,307.31,191.21,136.41,123.31,121.51,085.91,077.71,099.81,102.51,056.61,030.71,050.01,119.7
113         Equity in noncorporate business8,649.58,279.68,018.17,526.67,205.26,762.16,437.36,384.16,403.06,588.36,616.06,710.16,868.27,006.37,110.37,258.87,437.07,644.57,912.58,059.1
114         Equity investment under Public-Private
             Inv. Program (2)
0.00.00.00.00.00.00.00.92.13.13.63.84.85.05.25.24.94.83.11.8
115      Insurance, pension and standardized
          guarantee schemes
16,652.916,735.616,478.715,913.715,797.216,337.216,926.417,227.217,647.217,584.618,259.418,845.019,187.119,338.518,940.519,393.919,958.119,884.420,244.620,412.5
116         Insurance receivables due from
             property-casualty insurance companies
329.2333.9340.9337.3339.4342.1345.4346.0336.0329.5322.3310.8313.3322.2328.2338.4330.2325.5320.5320.7
117         Life insurance reserves1,064.01,070.11,063.71,050.21,055.01,073.41,094.41,109.51,115.11,100.01,126.61,137.51,153.31,167.21,171.71,199.31,198.31,173.11,181.81,186.4
118         Pension entitlements (3)14,864.514,933.614,665.714,097.213,975.714,492.015,050.115,317.615,741.115,693.416,337.716,903.117,224.017,356.316,932.117,329.417,903.817,860.918,214.418,367.0
119         Non-life insurance reserves at life
             insurance companies
258.3259.4263.3265.2267.4268.9274.6273.6275.7281.2288.5290.7293.6296.3303.0305.5305.5301.7306.4303.7
120         Retiree Health Care Funds136.9138.5145.0163.8159.6160.8161.9180.4179.3180.5184.4202.9202.8196.5205.4221.4220.3223.1221.5234.8
121      Other accounts receivable (trade
          receivables)
173.1174.9176.8178.7178.5178.3178.1178.0179.5181.1182.6184.2187.8191.3195.0198.6200.8203.1205.3207.6
122Total liabilities and net worth78,854.777,387.575,373.470,757.569,303.970,213.571,630.072,398.473,217.072,014.473,429.075,760.677,077.677,380.175,052.676,658.279,207.679,394.481,330.982,540.6
123   Liabilities14,570.014,493.314,636.714,339.114,164.014,145.214,150.514,138.814,010.213,956.713,915.613,876.213,831.413,752.213,681.013,702.513,685.413,709.213,686.813,772.1
124      Debt securities (municipals)258.1268.6266.1265.5266.0269.8271.5272.4273.8271.9269.2271.1270.9269.7264.8263.3261.6256.9253.6249.2
125      Loans14,042.913,949.314,089.213,784.513,599.113,567.813,561.213,540.413,415.113,370.013,341.913,305.813,255.813,172.413,102.313,120.313,101.313,126.213,104.813,196.2
126         Short term3,126.23,037.53,197.42,968.32,785.32,788.52,843.42,875.92,881.22,903.52,954.33,122.23,126.03,102.03,082.23,146.33,184.33,265.83,286.83,425.5
127            Consumer credit2,602.12,620.42,643.82,643.82,578.32,548.92,558.72,555.02,493.22,478.52,503.82,646.82,628.82,653.82,703.42,757.82,747.02,796.32,856.22,919.7
128            Depository institution loans n.e.c.30.7-4.220.526.4-60.9-42.1-22.1-15.957.473.381.061.045.0-1.6-11.011.531.787.323.162.6
129            Other loans and advances493.4421.3533.1298.1267.9281.7306.8336.7330.7351.7369.6414.4452.2449.8389.8377.0405.6382.2407.5443.1
130         Long term (mortgages)10,916.710,911.810,891.810,816.210,813.810,779.310,717.810,664.510,533.910,466.510,387.510,183.510,129.910,070.410,020.19,974.09,917.09,860.49,818.19,770.7
131      Insurance, pension and standardized
          guarantee schemes
25.926.326.227.827.325.625.222.925.426.323.425.525.926.425.125.026.928.729.125.7
132      Other accounts payable (trade debt)243.1249.1255.2261.3271.6282.0292.6303.1295.9288.6281.2273.9278.8283.8288.8293.9295.6297.4299.2301.0
133   Net worth64,284.762,894.160,736.756,418.355,139.956,068.357,479.558,259.659,206.958,057.759,513.361,884.363,246.163,627.961,371.562,955.765,522.265,685.167,644.268,768.5
       Footnotes


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