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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: 11/17/2017   Last Revised on September 27, 2017 

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

Line      2013   
I
   2013   
II
   2013   
III
   2013   
IV
   2014   
I
   2014   
II
   2014   
III
   2014   
IV
   2015   
I
   2015   
II
   2015   
III
   2015   
IV
   2016   
I
   2016   
II
   2016   
III
   2016   
IV
   2017   
I
   2017   
II
                                              
                                                 Current account
1Gross value added2,061.22,073.12,093.32,109.42,137.22,153.22,173.52,194.42,216.22,242.72,272.02,313.02,312.72,347.52,370.62,387.32,413.82,437.3
2Less: Consumption of fixed capital417.4423.8430.6439.0449.0451.9458.9464.7467.2469.1474.7479.9482.9491.5499.8506.9511.6519.6
3Equals: Net value added1,643.81,649.31,662.71,670.51,688.21,701.31,714.61,729.71,749.11,773.61,797.31,833.11,829.81,855.91,870.81,880.41,902.21,917.7
4   Compensation paid by households and NPISHs773.2778.2782.7785.2798.3803.8812.8823.4830.8842.5854.5879.1864.8883.7894.0892.9902.8910.0
5   Taxes on production and imports less subsidies156.6157.4158.1159.0161.3163.2164.7165.8167.0168.1169.6170.8173.0174.6176.3178.4181.0183.2
6   Operating surplus, net714.0713.7722.0726.3728.6734.3737.1740.5751.3763.0773.2783.2792.0797.6800.5809.1818.4824.4
7Net national income/Balance of primary incomes,
    net
12,359.312,472.812,574.012,671.112,909.213,087.813,266.713,472.813,589.213,774.513,872.714,020.513,968.314,120.714,230.414,196.514,411.014,524.5
8   Operating surplus, net714.0713.7722.0726.3728.6734.3737.1740.5751.3763.0773.2783.2792.0797.6800.5809.1818.4824.4
9   Compensation of employees (received)8,705.18,823.78,880.68,960.49,119.49,175.09,286.99,444.59,541.69,655.99,730.09,905.59,838.69,979.610,081.410,014.910,166.310,273.1
10      Wages and salaries6,999.77,102.17,148.27,216.77,360.97,406.47,501.97,638.07,718.47,813.77,873.58,030.07,964.98,090.28,178.18,107.88,232.18,323.1
11      Employers' social contributions1,705.41,721.61,732.41,743.71,758.51,768.61,785.01,806.61,823.31,842.21,856.51,875.51,873.71,889.41,903.41,907.11,934.21,950.0
12   Property income received, net2,940.22,935.42,971.52,984.43,061.33,178.43,242.73,287.83,296.23,355.53,369.53,331.83,337.83,343.43,348.53,372.43,426.23,427.0
13Net national income/Balance of primary incomes,
    net
12,359.312,472.812,574.012,671.112,909.213,087.813,266.713,472.813,589.213,774.513,872.714,020.513,968.314,120.714,230.414,196.514,411.014,524.5
14Less: Current taxes on income, wealth, etc. (paid)1,644.91,681.31,681.51,703.61,751.51,757.81,795.71,837.51,903.41,934.11,937.71,976.51,928.91,950.71,983.81,977.22,018.82,015.3
15Plus: Social benefits (received)2,365.02,377.32,397.42,407.92,435.82,485.82,524.52,549.02,594.92,630.32,643.92,656.02,683.42,703.02,719.72,737.92,773.42,778.6
16Less: Social contributions (paid)1,088.71,103.31,109.21,117.31,141.51,145.91,157.81,175.91,188.31,201.71,210.31,231.91,227.51,245.41,258.21,250.21,284.11,297.6
17Plus: Other current transfers (received)40.540.741.242.043.244.646.348.350.552.454.155.456.557.357.858.058.459.2
18Less: Other current transfers (paid)184.2183.3181.7185.1181.5183.1185.5190.5191.0192.9192.9191.1192.4184.7188.8196.6193.8210.1
19Equals: Disposable income, net11,847.111,922.912,040.212,115.012,313.812,531.412,698.512,866.212,951.813,128.613,229.813,332.413,359.313,500.213,577.113,568.413,746.113,839.3
20Less: Final consumption expenditures11,256.711,284.511,379.111,524.411,640.211,791.911,941.112,081.412,142.212,284.212,407.812,494.912,571.512,755.012,899.413,056.913,191.613,308.6
21Equals: Net saving590.4638.4661.1590.6673.6739.5757.4784.8809.7844.4822.0837.5787.8745.2677.7511.5554.6530.7
                                              
                                                 Capital account
22Net saving less capital transfers572.3619.3640.2568.7653.2720.3778.8765.7789.3823.3800.6815.3766.3730.4656.0510.4561.4509.5
23   Net saving590.4638.4661.1590.6673.6739.5757.4784.8809.7844.4822.0837.5787.8745.2677.7511.5554.6530.7
24   Less: Capital transfers paid (net)18.019.120.921.920.519.2-21.419.120.421.121.422.121.614.721.71.2-6.821.2
25Capital formation, net130.4136.9141.6133.4130.2143.4148.8162.9175.2192.6208.9221.9235.1229.2225.0238.2241.2226.5
26   Gross fixed capital formation, excluding
       consumer durables
555.8568.6580.1580.3587.4603.7616.4636.4651.3670.8692.9711.1727.4730.1734.3754.6762.4755.8
27      Residential413.0430.8443.3446.5450.4465.9479.8499.3511.8526.4544.5557.9578.7580.0582.2599.7620.6613.3
28      Nonresidential (nonprofit organizations)142.8137.8136.8133.8137.0137.7136.6137.2139.6144.4148.4153.2148.7150.1152.0154.9141.8142.4
29   Less: Consumption of fixed capital417.4423.8430.6439.0449.0451.9458.9464.7467.2469.1474.7479.9482.9491.5499.8506.9511.6519.6
30   Acquisition of nonproduced nonfinancial assets-8.0-8.0-7.9-7.9-8.2-8.4-8.6-8.8-9.0-9.1-9.2-9.3-9.4-9.4-9.5-9.5-9.6-9.7
31Net lending (+) or borrowing (-), capital
    account (lines 22-25)
442.0482.4498.6435.2523.0576.9630.0602.8614.1630.7591.7593.5531.2501.3430.9272.2320.2283.0
                                         Financial
                                           account
32Net lending (+) or borrowing (-) (line 31)442.0482.4498.6435.2523.0576.9630.0602.8614.1630.7591.7593.5531.2501.3430.9272.2320.2283.0
33Net acquisition of financial assets1,133.11,232.5766.71,480.9749.01,550.5622.42,282.81,278.4753.21,040.71,526.91,479.01,428.6680.3506.91,192.01,184.5
34   Currency and deposits287.5217.6341.5506.6743.5518.652.8815.1789.3241.7369.2715.1302.4511.11,183.5488.0847.3204.3
35      Currency and transferable deposits272.5-66.8-23.1316.6251.5267.3-182.266.5346.5-61.8-306.4233.8174.0-174.0-161.4-115.9463.584.1
36      Foreign deposits12.915.2-0.1-17.61.5-10.811.3-27.7-4.9-20.6-13.9-18.33.1-5.3-1.4-18.712.38.4
37      Time and savings deposits2.1269.2364.8207.6490.5262.1223.7776.4447.7324.1689.5499.6125.3690.41,346.3622.5371.5111.8
38      Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
39   Debt securities-946.9-484.330.4-305.2-765.4-184.866.4259.4-236.0-24.71,255.859.8124.4-271.2-171.9-163.2-715.6-48.7
40      Treasury securities-101.7107.78.1-210.4-586.0-338.8-215.3112.9321.2199.9625.831.4203.7361.8120.1-15.5-202.3441.4
41      Agency- and GSE-backed securities (1)-328.6-65.9117.569.744.95.5252.57.0-156.3141.1497.1288.5-156.3-229.8-259.3153.6-96.090.6
42      Municipal securities-42.8-72.5-60.9-37.8-79.0-60.1-84.0-14.3-106.1-23.2-13.4-76.9-32.5-26.92.7101.9-214.8-90.0
43      Corporate and foreign bonds-473.8-453.6-34.3-126.7-145.3208.7113.1153.7-294.8-342.5146.2-183.3109.4-376.3-35.4-403.3-202.4-490.7
44   Loans-55.3197.6-17.897.4200.8-22.697.0-89.8-0.2-120.4-17.8-103.5163.56.4-100.5-88.957.1-7.5
45      Short term-53.9200.2-15.598.4201.0-20.899.0-88.86.7-114.4-8.6-96.8164.95.2-98.4-88.259.3-12.3
46      Long term (mortgages)-1.4-2.7-2.2-1.0-0.2-1.8-1.9-1.0-7.0-6.0-9.2-6.6-1.41.1-2.1-0.7-2.14.8
47   Equity and investment fund shares1,347.0752.5-188.7526.0196.5859.922.2885.3292.4179.6-1,107.4270.9236.8673.1-654.6-212.3598.0700.2
48      Corporate equities660.7426.4-575.6173.4-296.5402.6-260.0652.1319.5-85.9-1,043.4200.142.5446.0-807.0-213.3125.3219.6
49      Mutual fund shares491.75.7171.3240.4280.6255.0187.0303.2122.7152.5-27.784.3-12.7191.0311.2122.3278.4342.0
50      Money market fund shares24.2143.838.3-84.562.168.5-63.3-199.5-176.897.1-90.2-0.8177.922.5-264.6-131.6152.8101.7
51      Equity in noncorporate business176.4177.5177.4196.7150.3133.8158.5129.427.115.853.9-12.729.013.5105.810.341.536.9
52      Equity investment under Public-Private
          Inv. Program (2)
-6.1-1.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
53   Insurance, pension and standardized guarantee
       schemes
495.3543.5595.5650.5361.1366.8371.3400.2423.4467.5531.4575.1642.5499.7414.2473.8395.5326.6
54      Insurance receivables due from
          property-casualty insurance companies
30.746.039.335.3-10.7-0.6-2.9-19.413.230.236.114.117.322.326.43.7-14.923.6
55      Life insurance reserves-4.514.823.314.321.630.836.851.450.522.249.017.722.956.47.7-25.428.5-6.8
56      Pension entitlements (3)460.2488.2507.3579.7319.5308.4326.0373.9348.5426.3421.4525.0561.4379.3354.7460.6347.5309.2
57      Non-life insurance reserves at life
          insurance companies
-5.8-1.214.4-5.715.012.71.7-6.29.2-4.513.7-4.829.530.115.915.925.35.8
58      Retiree Health Care Funds14.7-4.211.227.015.815.59.70.62.0-6.811.223.011.311.59.619.09.1-5.1
59   Other accounts receivable (trade receivables)5.65.65.75.712.412.512.712.69.69.69.69.69.69.69.69.69.69.6
60Net incurrence of liabilities181.6118.2399.7252.8317.7672.6391.3337.3324.6535.4187.5585.2364.9641.1503.9544.6504.5547.1
61   Debt securities (municipals)-5.3-13.2-18.0-20.8-4.6-3.2-11.6-8.3-1.6-14.8-10.9-4.92.4-0.2-9.0-7.40.411.0
62   Loans188.4129.4427.4274.8292.4644.0379.0321.0318.1543.1195.6586.5354.0634.3513.0553.8494.9530.7
63      Short term201.7150.9359.5253.9284.6623.7370.2226.2250.9344.548.6392.0183.1371.5251.0265.7156.0247.2
64         Consumer credit190.8145.2189.2178.2222.0232.8218.7214.1223.0254.5236.0226.8230.6216.7236.1229.0190.7169.9
65         Depository institution loans n.e.c.-6.021.6125.1-27.9138.1165.390.590.586.945.4106.9162.747.4111.2-77.5118.6-49.812.5
66         Other loans and advances17.0-16.045.2103.7-75.5225.661.0-78.3-59.044.6-294.22.5-94.943.692.4-81.915.164.8
67      Long term (mortgages)-13.3-21.567.920.97.920.38.894.867.2198.6147.0194.6170.9262.8262.0288.1338.9283.5
68   Insurance, pension and standardized guarantee
       schemes
4.07.6-4.04.43.95.5-2.6-1.94.43.5-0.9-0.14.73.3-3.9-5.55.51.7
69   Other accounts payable (trade debt)-5.5-5.6-5.7-5.726.026.326.626.63.73.73.73.73.73.73.73.73.73.7
  Addendum:
70Net lending (+) or borrowing (-), financial
    account (lines 33-60)
951.51,114.3367.01,228.1431.2877.8231.11,945.5953.8217.8853.2941.61,114.2787.5176.4-37.7687.5637.3
                       Other changes in volume
                         account
71Total other volume changes415.3504.6105.5504.420.3-183.646.9438.5226.7113.2107.1504.4-66.5-408.289.3857.7235.1-253.9
72   Net investment in consumer durable goods48.345.845.546.247.954.056.257.659.763.362.261.260.761.964.267.075.574.8
73   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
74   Other volume changes139.4451.6115.4186.9-123.1-134.8123.4-47.2-40.3355.80.2255.1-384.9-329.294.5761.8-38.8-187.5
75   Less: Statistical discrepancy ((lines
       31-70)/4) (4)
-227.6-7.255.4-271.2-95.5102.7132.7-428.1-207.3305.9-44.7-188.1-257.6140.969.3-28.9-198.4141.2
                                           
                                              Revaluation account
76   Nonfinancial assets472.0559.1529.1410.6233.3207.5279.9388.3429.9294.4329.5253.9203.6269.6427.6327.0357.4475.8
77      Real estate485.4585.9557.0432.5259.8231.0298.4422.3451.4296.5347.6275.4210.2296.8464.0359.7327.2508.0
78      Consumer durable goods-12.1-27.7-29.7-24.0-25.8-22.9-18.6-34.7-24.3-3.0-18.0-19.3-6.2-26.9-36.7-32.526.3-36.5
79      Equipment-0.70.11.0-0.1-0.9-0.2-0.2-0.11.30.3-0.3-0.70.20.00.8-0.62.12.4
80      Intellectual property products-0.60.80.82.20.2-0.40.40.81.50.70.1-1.5-0.6-0.3-0.40.41.81.8
81   Financial assets1,937.6398.11,649.21,681.7951.01,439.0-270.3819.1822.585.0-1,833.0919.7130.6768.01,560.0651.51,537.51,361.8
82      Corporate equities1,162.0143.5814.2865.7588.7707.5-232.1472.7286.8-75.9-1,113.8565.632.9266.3793.3573.9805.1746.8
83      Mutual fund shares260.5-39.6267.7293.691.9214.7-107.739.1133.6-22.4-456.5152.29.3116.3242.5-27.5331.0206.8
84      Equity in noncorporate business182.6294.7290.5171.4169.2291.5144.5171.9278.0216.5177.510.952.2259.4291.487.375.4212.9
85      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
86      Insurance, pension and standardized
          guarantee schemes
332.5-0.5276.7351.0101.2225.3-75.0135.4124.0-33.2-440.2191.136.2126.0232.817.8326.0195.3
87Changes in net worth due to nominal holding
    gains/losses
2,409.6957.22,178.32,092.41,184.21,646.59.61,207.41,252.4379.5-1,503.51,173.6334.11,037.61,987.7978.51,894.91,837.7
                    Changes in balance sheet account
88Change in net worth ((lines 25+31)/4 + lines
    71+87) (5)
3,019.81,606.32,425.62,715.61,428.11,628.7232.31,810.21,735.1680.7-1,215.61,860.4515.4791.62,225.51,943.42,326.51,697.5
                       Balance sheet account (end
                         of period)
89Total assets85,512.787,132.789,674.492,457.493,878.995,678.196,037.797,941.299,663.4100,485.999,350.7101,270.7101,789.2102,755.3105,118.2107,204.9109,571.3111,415.0
90   Nonfinancial assets25,369.126,008.526,617.427,107.127,419.827,716.628,089.328,575.829,108.829,514.829,957.730,327.430,647.131,035.431,583.132,036.232,527.533,134.8
91      Real estate20,061.920,677.921,265.721,728.322,016.022,278.822,610.523,070.623,562.923,904.324,298.924,623.524,885.325,235.025,751.426,166.426,551.127,115.1
92      Consumer durable goods4,885.14,903.24,919.04,941.24,963.24,994.35,031.85,054.65,090.05,150.35,194.65,236.55,291.05,326.15,353.65,388.15,489.95,528.2
93      Equipment304.5307.2310.1311.6312.8314.7316.6317.9321.0323.2325.6328.0330.8333.1335.9337.5340.1343.0
94      Intellectual property products117.6120.2122.6126.0127.8128.8130.4132.5135.0137.0138.6139.3140.1141.3142.3144.1146.4148.6
95   Financial assets60,143.661,124.263,057.065,350.366,459.167,961.667,948.469,365.570,554.570,971.169,393.070,943.371,142.171,719.973,535.075,168.877,043.778,280.1
96         Currency and deposits8,185.88,172.48,250.18,434.88,646.28,692.58,765.79,030.19,261.09,224.59,316.59,565.79,678.19,691.99,988.010,176.310,397.210,334.2
97            Currency and transferable deposits897.7870.5857.5992.81,015.91,072.81,021.41,093.61,140.71,115.51,031.91,148.21,152.71,089.51,041.31,068.01,145.21,157.8
98            Foreign deposits52.756.556.552.152.549.852.645.644.439.235.831.232.030.630.325.628.730.8
99            Time and savings deposits7,235.47,245.47,336.27,389.97,577.97,570.07,691.77,890.98,075.98,069.88,248.88,386.38,493.48,571.88,916.49,082.79,223.39,145.6
100         Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
101      Debt securities4,003.84,260.14,335.54,342.24,123.53,878.73,909.73,848.23,823.34,093.74,364.74,457.44,173.43,691.73,695.24,344.74,220.63,946.4
102         Treasury securities982.61,122.11,145.61,150.21,020.7839.8807.5802.3863.6979.91,081.21,178.01,115.61,059.31,175.11,434.51,404.91,428.9
103         Agency- and GSE-backed securities (1)164.5206.9239.7265.7282.3250.6313.2265.1254.4307.8420.5500.1460.6368.6306.1398.4413.5412.7
104         Municipal securities1,833.41,859.41,850.81,833.91,808.61,787.21,726.21,695.11,695.91,717.31,693.51,643.61,636.01,611.31,604.01,680.81,646.41,626.6
105         Corporate and foreign bonds1,023.41,071.61,099.41,092.41,011.91,001.21,062.81,085.71,009.41,088.61,169.61,135.7961.2652.3610.1831.0755.8478.2
106      Loans947.5996.9992.41,016.81,067.01,061.31,085.61,063.11,063.11,033.01,028.51,002.71,043.61,045.11,020.0997.81,012.11,010.2
107         Short term822.5872.5868.6893.2943.5938.3963.0940.8942.5913.9911.8887.5928.8930.1905.5883.4898.2895.2
108         Long term (mortgages)125.0124.3123.8123.5123.5123.1122.6122.3120.6119.1116.8115.1114.8115.1114.5114.4113.8115.0
109      Equity and investment fund shares25,915.626,450.727,793.129,329.030,192.831,568.431,396.532,374.433,110.433,218.731,570.032,440.232,556.033,311.234,496.635,149.736,471.837,749.7
110         Corporate equities10,799.111,031.711,717.912,653.213,142.713,933.813,652.014,314.514,656.314,541.613,181.413,824.713,843.914,203.314,808.615,358.116,170.516,953.3
111         Mutual fund shares5,760.35,724.36,001.86,340.86,550.86,833.36,736.86,835.27,048.37,069.46,570.96,725.16,779.46,951.57,235.27,218.67,667.77,969.8
112         Money market fund shares1,067.91,066.91,109.91,150.21,105.91,082.91,104.91,117.11,011.2993.11,011.91,074.51,055.51,016.9995.41,025.5998.4977.4
113         Equity in noncorporate business8,288.08,627.88,963.59,184.99,393.49,718.39,902.810,107.610,394.410,614.610,805.810,815.910,877.211,139.511,457.511,547.511,635.211,849.1
114         Equity investment under Public-Private
             Inv. Program (2)
0.20.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
115      Insurance, pension and standardized
          guarantee schemes
20,881.921,033.821,474.022,014.322,213.222,541.222,568.422,823.823,068.623,170.622,880.323,242.023,453.323,739.924,092.724,255.324,694.824,990.0
116         Insurance receivables due from
             property-casualty insurance companies
328.4339.9349.7358.5355.8355.7355.0350.1353.4361.0370.0373.5377.8383.4390.0390.9387.2393.1
117         Life insurance reserves1,198.01,201.41,217.51,233.01,242.61,258.41,264.81,282.81,300.01,303.81,298.31,309.11,317.21,337.21,348.51,340.01,359.21,365.4
118         Pension entitlements (3)18,819.718,959.319,370.219,871.620,060.620,367.120,388.320,623.720,849.720,944.220,646.420,981.421,174.621,426.021,757.021,910.622,330.522,614.3
119         Non-life insurance reserves at life
             insurance companies
302.3302.0305.6304.2307.9311.1311.5310.0312.3311.1314.6313.4320.7328.3332.2336.2342.5344.0
120         Retiree Health Care Funds233.6231.3231.0246.9246.2249.0248.8257.3253.2250.6251.0264.7263.0265.0265.0277.6275.3273.3
121      Other accounts receivable (trade
          receivables)
209.0210.4211.8213.2216.3219.5222.6225.8228.2230.6233.0235.3237.7240.1242.5244.9247.3249.7
122Total liabilities and net worth85,512.787,132.789,674.492,457.493,878.995,678.196,037.797,941.299,663.4100,485.999,350.7101,270.7101,789.2102,755.3105,118.2107,204.9109,571.3111,415.0
123   Liabilities13,724.413,738.113,854.313,921.613,915.014,085.614,212.814,306.114,293.214,435.014,515.514,575.114,578.214,752.714,890.015,033.415,073.215,219.4
124      Debt securities (municipals)247.9244.6240.1234.9233.7232.9230.0228.0227.6223.8221.1219.9220.5220.4218.2216.3216.4219.2
125      Loans13,150.213,166.713,289.813,362.613,349.713,513.113,637.313,726.513,712.013,855.713,938.213,998.113,998.514,171.314,310.914,456.514,494.014,636.0
126         Short term3,424.43,471.93,581.63,667.03,686.83,855.23,967.44,043.24,054.34,154.64,187.34,177.24,171.44,279.24,338.14,420.04,410.84,487.0
127            Consumer credit2,920.72,963.93,034.93,095.63,102.43,170.03,248.93,317.43,322.73,398.13,482.03,417.23,423.73,490.73,575.03,645.23,641.83,697.1
128            Depository institution loans n.e.c.56.364.692.090.8122.7167.0185.1211.9232.5246.3268.7322.8334.1364.1315.6347.7338.1342.8
129            Other loans and advances447.4443.4454.7480.6461.7518.2533.4513.8499.1510.2436.7437.3413.6424.5447.6427.1430.9447.1
130         Long term (mortgages)9,725.89,694.89,708.29,695.79,662.99,657.99,669.99,683.39,657.79,701.19,750.89,820.99,827.09,892.19,972.810,036.510,083.210,149.1
131      Insurance, pension and standardized
          guarantee schemes
26.728.627.628.729.731.030.429.931.031.931.731.632.833.632.731.332.733.1
132      Other accounts payable (trade debt)299.6298.2296.8295.4301.9308.5315.1321.8322.7323.6324.5325.5326.4327.3328.3329.2330.1331.1
133   Net worth71,788.373,394.675,820.178,535.779,963.881,592.681,824.983,635.185,370.286,050.984,835.386,695.687,211.088,002.690,228.192,171.694,498.096,195.6
       Footnotes


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