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Integrated Macroeconomic Accounts for the United States Table

S.4.q Nonfinancial Noncorporate Business (1)
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 10/20/2017   Last Revised on September 27, 2017 

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

Line      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
   2013   
I
   2013   
II
   2013   
III
   2013   
IV
                                              
                                                 Current account
1Gross value added2,572.32,415.52,406.22,471.62,491.02,507.32,556.22,630.32,679.22,708.22,793.82,825.02,882.02,886.32,924.62,946.23,004.62,994.13,028.63,055.8
2Less: Consumption of fixed capital256.4253.5251.2251.0250.2250.0251.7255.3259.8264.1267.2268.9269.8271.7274.0276.5279.4282.6285.8289.7
3Equals: Net value added2,315.92,161.92,155.02,220.62,240.82,257.32,304.52,375.02,419.42,444.12,526.62,556.12,612.22,614.62,650.62,669.82,725.32,711.52,742.72,766.1
4   Compensation of employees (paid)847.7799.7788.3786.0792.9803.3829.1841.0821.5843.1857.4861.5883.8871.5888.3926.8889.6911.5931.0949.7
5   Taxes on production and imports less subsidies147.2143.9143.1147.2144.5149.6153.1155.5155.1159.7158.7161.4166.5166.8166.2170.4173.8174.5178.0180.2
6   Operating surplus, net1,321.01,218.41,223.51,287.31,303.31,304.41,322.31,378.51,442.81,441.41,510.51,533.21,561.91,576.41,596.11,572.51,661.81,625.51,633.81,636.2
7Net national income/Balance of primary incomes,
    net
19.322.121.021.521.121.823.525.825.423.925.327.529.527.725.826.128.629.930.130.5
8   Operating surplus, net1,321.01,218.41,223.51,287.31,303.31,304.41,322.31,378.51,442.81,441.41,510.51,533.21,561.91,576.41,596.11,572.51,661.81,625.51,633.81,636.2
9   Property income received, net-1,301.7-1,196.3-1,202.6-1,265.8-1,282.2-1,282.6-1,298.9-1,352.7-1,417.5-1,417.5-1,485.2-1,505.7-1,532.4-1,548.7-1,570.3-1,546.5-1,633.2-1,595.6-1,603.7-1,605.7
10Net national income/Balance of primary incomes,
    net
19.322.121.021.521.121.823.525.825.423.925.327.529.527.725.826.128.629.930.130.5
11Less: Other current transfers (paid)19.322.121.021.521.121.823.525.825.423.925.327.529.527.725.826.128.629.930.130.5
12Equals: Disposable income, net0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
13Equals: Net saving0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
                                              
                                                 Capital account
14Net saving less capital transfers6.06.06.06.07.87.87.87.81.61.61.61.6-0.10.10.019.70.00.00.00.0
15   Net saving0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
16   Less: Capital transfers paid (net)-6.0-6.0-6.0-6.0-7.8-7.8-7.8-7.8-1.6-1.6-1.6-1.60.1-0.10.0-19.70.00.00.00.0
17Capital formation, net-10.8-27.2-32.5-13.7-17.1-5.20.51.50.311.519.036.040.844.027.430.362.363.873.484.1
18   Gross fixed capital formation261.3247.0244.0242.8232.3241.9243.2255.1256.3268.0285.7289.3307.3313.5311.2318.3329.5332.1333.5350.8
19      Nonresidential193.7183.7178.0176.3173.9180.7187.2197.6198.0208.5225.1226.9240.3246.3242.3245.9253.0252.8252.2269.0
20      Residential67.663.365.966.558.461.156.157.458.359.560.662.466.967.268.972.476.579.381.381.8
21   Less: Consumption of fixed capital256.4253.5251.2251.0250.2250.0251.7255.3259.8264.1267.2268.9269.8271.7274.0276.5279.4282.6285.8289.7
22   Change in private inventories-15.7-20.7-25.3-5.40.82.98.91.73.87.50.415.53.32.2-9.8-11.612.114.425.723.0
23Net lending (+) or borrowing (-), capital
    account (lines 14-17)
16.833.238.519.724.912.97.36.31.3-9.9-17.4-34.4-40.9-43.9-27.4-10.6-62.3-63.8-73.4-84.1
                                         Financial
                                           account
24Net lending (+) or borrowing (-) (line 23)16.833.238.519.724.912.97.36.31.3-9.9-17.4-34.4-40.9-43.9-27.4-10.6-62.3-63.8-73.4-84.1
25Net acquisition of financial assets-116.8-117.3-117.4-116.7151.7152.0152.2152.0197.0197.1196.8196.5301.8301.3301.0300.6304.8304.6304.2304.4
26   Currency and deposits10.210.010.010.20.10.20.30.230.730.730.630.569.669.469.369.123.623.523.423.5
27      Currency and transferable deposits15.014.814.815.0-2.8-2.7-2.6-2.724.724.724.624.559.559.359.259.112.012.011.911.9
28      Time and savings deposits-4.8-4.8-4.8-4.82.92.92.92.96.06.06.06.010.110.110.110.111.511.511.511.5
29   Debt securities-5.5-5.5-5.5-5.52.52.52.52.51.11.11.11.14.24.24.24.20.50.50.50.5
30      Treasury securities-5.7-5.7-5.7-5.71.91.91.91.90.80.80.80.84.04.04.04.02.22.22.22.2
31      Municipal securities0.20.20.20.20.50.50.50.50.30.30.30.30.20.20.20.2-1.7-1.7-1.7-1.7
32   Loans-1.2-1.2-1.2-1.24.24.24.24.2-5.8-5.8-5.8-5.8-2.4-2.4-2.4-2.41.01.01.01.0
33      Short term (consumer credit)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
34      Long term (mortgages)-1.2-1.2-1.2-1.24.24.24.24.2-5.8-5.8-5.8-5.8-2.4-2.4-2.4-2.41.01.01.01.0
35   Equity and investment fund shares-4.0-1.3-0.9-0.63.23.44.33.00.71.41.51.03.32.73.43.21.83.13.02.5
36      Money market mutual fund shares-1.7-1.7-1.7-1.73.13.13.13.10.80.80.80.83.03.03.03.02.02.02.02.0
37      Equity in government-sponsored enterprises
          (2)
-2.40.40.81.10.10.31.2-0.1-0.10.50.70.10.3-0.30.40.2-0.21.11.00.5
38   Insurance, pension and standardized guarantee
       schemes (3)
-11.1-10.0-9.3-8.728.932.630.527.4-9.3-2.1-4.4-2.911.416.615.018.6-28.1-23.6-25.7-27.0
39   Other accounts receivable-105.2-109.4-110.4-111.0112.8109.1110.5114.7179.6171.8173.8172.6215.7210.8211.5207.8305.9300.1302.0304.0
40      Trade receivables-26.3-26.3-26.3-26.337.037.037.037.061.061.061.061.04.64.64.64.648.848.848.848.8
41      Other (miscellaneous assets)-78.8-83.0-84.1-84.675.872.073.477.7118.7110.8112.9111.7211.1206.2206.9203.2257.1251.2253.1255.1
42Net incurrence of liabilities-143.4-163.3-172.4-168.3111.6124.2126.6127.4197.2204.4209.7236.5332.3343.9332.6318.6356.3369.8385.0390.4
43   Loans-42.2-110.5-117.1-118.3-37.9-19.1-3.7-17.0-55.3-61.8-64.5-45.6166.0188.3176.9170.293.0117.0110.8115.4
44      Short term-55.7-118.6-126.5-128.5-31.0-12.43.4-8.3-25.0-31.7-33.3-13.763.586.575.470.011.535.730.436.0
45         Depository institution loans n.e.c.-42.6-123.7-119.2-122.5-11.5-18.7-18.8-18.2-21.3-31.2-26.9-26.668.366.861.961.524.621.223.020.5
46         Other loans and advances-13.15.2-7.3-5.9-19.56.322.29.9-3.7-0.5-6.412.9-4.819.613.58.6-13.114.57.515.5
47      Long term (mortgages)13.58.09.310.2-6.9-6.7-7.1-8.7-30.4-30.1-31.2-31.9102.5101.9101.5100.281.581.480.479.4
48   Equity and investment fund shares-141.8-91.6-100.7-98.1181.4161.1160.0164.2229.6227.1232.1248.697.187.384.565.3181.8176.7196.3195.7
49      Equity in noncorporate business-140.2-91.5-103.1-97.9181.6160.8160.0163.1230.0226.9232.0248.496.785.384.364.6181.7176.9194.5195.7
50      Foreign direct investment in the United
          States
-1.6-0.22.4-0.1-0.20.30.11.1-0.40.20.10.20.42.00.20.60.1-0.21.70.0
51   Other accounts payable40.638.945.548.0-31.9-17.8-29.7-19.822.939.042.033.569.268.371.283.281.576.177.979.3
52      Trade payables14.212.519.121.639.032.020.130.043.359.562.553.99.88.911.823.836.531.132.934.3
53      Taxes payable-6.3-6.3-6.3-6.3-0.7-0.7-0.7-0.70.60.60.60.67.67.67.67.63.23.23.23.2
54      Other (miscellaneous liabilities)32.632.632.632.6-70.2-49.0-49.0-49.0-21.0-21.0-21.1-21.051.851.851.851.841.841.841.841.8
  Addendum:
55Net lending (+) or borrowing (-), financial
    account (lines 25-42)
26.545.955.051.640.027.825.624.6-0.1-7.3-12.8-40.0-30.5-42.6-31.6-18.1-51.5-65.2-80.8-86.0
                       Other changes in volume
                         account
56Total other volume changes-32.7-20.2-22.7-20.946.842.442.150.259.858.459.564.126.522.722.79.247.644.949.549.7
57   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-8.60.00.00.00.0
58   Other volume changes-32.7-20.2-22.7-20.946.842.442.150.259.858.459.564.126.522.722.717.847.644.949.549.7
                                           
                                              Revaluation account
59   Nonfinancial assets-292.6-423.5-303.8-35.2-30.3141.2-16.741.799.280.045.985.0147.0184.9244.7131.7180.6294.9288.0171.8
60      Real estate-296.5-432.6-312.0-39.8-54.1129.8-29.430.262.366.043.591.9137.5188.4235.7136.3182.0297.4287.2178.8
61         Residential-190.6-133.0-103.4-38.87.3-16.2-42.82.223.148.665.538.563.7130.7122.994.8118.0167.7152.7109.7
62         Nonresidential-105.9-299.6-208.7-1.0-61.4146.013.428.039.217.5-22.053.473.857.7112.841.564.0129.8134.669.1
63      Equipment5.09.15.0-0.411.99.34.3-4.012.111.8-1.8-5.56.1-1.02.7-1.32.22.08.4-5.2
64         Residential-0.2-0.4-1.3-0.9-0.6-0.6-0.3-0.7-0.40.40.90.20.40.0-0.5-0.2-0.5-0.6-0.6-0.3
65         Nonresidential5.29.56.20.512.610.04.6-3.312.511.4-2.7-5.75.7-1.03.2-1.12.72.69.0-4.9
66      Intellectual property products2.51.32.80.93.44.30.8-1.34.62.2-0.7-3.93.91.30.6-3.60.82.20.80.0
67      Inventories-3.6-1.30.54.08.5-2.27.616.920.30.04.82.6-0.5-3.75.80.3-4.3-6.7-8.5-1.7
68   Liabilities (direct investment in the U.S.)0.00.00.01.00.00.00.00.20.00.00.00.80.00.00.0-0.50.00.00.00.3
69Changes in net worth due to nominal holding
    gains/losses
-292.6-423.5-303.8-36.2-30.3141.2-16.741.599.280.045.984.3147.0184.9244.7132.2180.6294.9288.0171.5
                    Changes in balance sheet account
70Change in net worth ((lines 17+23)/4 + lines
    56+69) (4)
-323.8-442.2-325.1-55.618.4185.527.393.7159.4138.8105.9148.7173.4207.7267.4146.3228.2339.8337.5221.2
                       Balance sheet account (end
                         of period)
71Total assets12,984.212,521.412,176.012,100.312,099.812,273.912,290.912,366.412,515.212,646.712,745.512,890.013,120.013,391.013,718.913,926.614,196.314,583.714,967.915,237.4
72Nonfinancial assets9,320.18,886.68,570.58,523.98,485.58,621.78,600.68,638.18,737.78,819.98,869.48,964.99,119.59,315.19,567.79,700.39,893.810,205.010,513.210,706.6
73      Real estate8,208.17,776.87,464.47,421.97,364.67,491.57,457.17,482.27,541.67,604.67,645.67,736.27,874.98,065.58,303.48,433.68,618.18,918.89,210.49,394.7
74         Residential (5)4,637.94,501.84,396.14,355.24,358.84,339.04,291.34,288.74,308.94,353.94,415.34,449.84,511.74,640.34,761.54,848.04,965.35,132.95,286.25,396.9
75         Nonresidential3,570.13,275.03,068.33,066.73,005.83,152.53,165.83,193.53,232.73,250.83,230.33,286.43,363.23,425.23,541.93,585.63,652.83,785.93,924.23,997.8
76      Equipment700.0703.6703.2696.3704.2710.9713.5709.2723.2737.4740.3740.7751.5756.7765.9772.6780.9790.8807.0810.7
77         Residential46.446.144.844.043.543.042.842.241.942.543.543.944.544.744.444.444.243.943.643.5
78         Nonresidential653.5657.6658.4652.3660.7667.9670.8667.0681.3695.0696.8696.8707.0712.0721.5728.3736.8746.9763.4767.2
79      Intellectual property products179.9180.5183.0183.2185.6189.5190.4189.9194.8197.9198.6196.6201.4204.3206.5204.7206.8210.6213.0214.3
80      Inventories232.1225.7219.9222.5231.2229.7239.5256.9278.1279.9284.9291.3291.7288.5291.9289.3288.0284.9282.8286.8
81   Financial assets3,664.23,634.83,605.53,576.33,614.23,652.23,690.33,728.33,777.53,826.83,876.03,925.14,000.64,075.94,151.14,226.34,302.54,378.64,454.74,530.8
82      Currency and deposits880.1882.6885.1887.7887.7887.8887.8887.9895.6903.2910.9918.5935.9953.2970.6987.8993.7999.61,005.51,011.3
83         Currency and transferable deposits523.2526.9530.6534.4533.7533.0532.3531.6537.8544.0550.1556.3571.1586.0600.8615.5618.5621.5624.5627.5
84         Time and savings deposits356.9355.7354.5353.3354.0354.8355.5356.2357.7359.2360.7362.2364.8367.3369.8372.3375.2378.1381.0383.8
85      Debt securities55.454.052.651.251.852.553.153.754.054.254.554.855.856.958.059.059.159.359.459.5
86         Treasury securities50.449.047.646.146.647.147.648.148.348.548.748.949.950.951.952.953.554.054.655.2
87         Municipal securities5.05.05.05.15.25.45.55.65.75.85.85.95.96.06.06.15.75.24.84.4
88      Loans38.838.538.237.938.940.041.042.140.639.237.736.335.735.134.533.934.134.434.634.8
89         Short term (consumer credit)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
90         Long term (mortgages)38.838.538.237.938.940.041.042.140.639.237.736.335.735.134.533.934.134.434.634.8
91      Equity and investment fund shares80.780.480.280.180.881.782.883.583.784.184.484.785.586.287.087.888.389.189.890.4
92         Money market mutual fund shares75.074.574.173.774.575.376.076.877.077.277.577.778.479.279.980.781.281.782.282.7
93         Equity in government-sponsored
             enterprises (2)
5.85.96.16.36.46.46.76.76.76.87.07.07.17.07.17.27.17.47.67.7
94      Insurance, pension and standardized
          guarantee schemes (3)
108.9106.3104.0101.8109.1117.2124.9131.7129.4128.9127.8127.0129.9134.1137.8142.5135.4129.5123.1116.4
95      Other accounts receivable2,500.32,473.02,445.42,417.62,445.82,473.12,500.72,529.42,574.32,617.22,660.72,703.92,757.82,810.52,863.42,915.32,991.83,066.83,142.33,218.3
96         Trade receivables516.1509.5502.9496.3505.6514.9524.1533.4548.6563.9579.1594.4595.5596.6597.8598.9611.1623.3635.6647.8
97         Other (miscellaneous assets)1,984.21,963.51,942.41,921.31,940.21,958.21,976.61,996.02,025.72,053.42,081.62,109.52,162.32,213.82,265.62,316.42,380.62,443.52,506.72,570.5
98Total liabilities and net worth12,984.212,521.412,176.012,100.312,099.812,273.912,290.912,366.412,515.212,646.712,745.512,890.013,120.013,391.013,718.913,926.614,196.314,583.714,967.915,237.4
99   Liabilities5,792.15,771.55,751.25,731.05,712.15,700.85,690.45,672.25,661.65,654.35,647.25,643.05,699.65,762.95,823.35,884.75,926.25,973.76,020.56,068.7
100      Loans4,078.84,048.64,016.23,985.43,972.43,965.33,962.13,950.93,932.63,915.03,897.43,886.63,925.73,971.14,013.74,057.54,075.44,103.94,130.84,162.1
101         Short term1,207.41,178.11,146.61,116.41,107.51,104.41,105.41,098.21,089.51,081.41,073.41,072.31,087.51,109.21,128.21,148.61,147.41,156.81,164.71,176.9
102            Depository institution loans n.e.c.1,031.81,003.3974.6944.2937.1935.0931.4927.4917.1912.2906.6900.9914.5934.5951.2968.0967.5976.3983.4990.3
103            Other loans and advances175.7174.7172.0172.1170.5169.4174.0170.8172.4169.2166.7171.3172.9174.6177.0180.6180.0180.5181.3186.6
104         Long term (mortgages)2,871.42,870.52,869.62,869.02,864.92,860.82,856.82,852.72,843.12,833.62,824.12,814.32,838.22,861.92,885.52,908.92,928.02,947.12,966.12,985.1
105      Equity and investment fund shares (direct
          investment in the U.S.)
3.33.23.84.84.74.84.85.35.25.25.36.16.26.76.76.36.46.36.77.1
106      Other accounts payable1,710.01,719.71,731.21,740.81,734.91,730.71,723.41,716.01,723.81,734.11,744.51,750.41,767.81,785.11,803.01,820.91,844.41,863.61,882.91,899.6
107         Trade payables386.6389.7394.5397.6409.4417.6422.8427.8440.8456.1471.7482.6485.2487.7490.7493.8506.1514.0522.1527.5
108         Taxes payable104.6103.0101.599.999.799.599.399.299.399.599.699.7101.6103.5105.5107.4108.1108.9109.7110.5
109         Other (miscellaneous liabilities)1,218.91,227.01,235.21,243.31,225.81,213.51,201.31,189.01,183.81,178.51,173.21,168.01,180.91,193.81,206.81,219.71,230.21,240.61,251.11,261.5
110   Net worth7,192.16,749.96,424.96,369.36,387.76,573.26,600.56,694.26,853.66,992.47,098.27,247.07,420.47,628.17,895.68,041.98,270.18,609.98,947.49,168.6
       Footnotes


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