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Integrated Macroeconomic Accounts for the United States Table

S.5.q Nonfinancial Corporate Business
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 7/22/2017   Last Revised on June 13, 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 added6,840.16,803.16,811.16,984.87,069.87,189.17,343.37,352.87,412.47,578.37,671.37,707.27,927.87,990.47,982.88,146.58,217.48,289.68,322.68,391.2
2Less: Consumption of fixed capital1,105.01,091.41,084.11,087.41,087.81,091.61,095.11,103.91,118.81,135.01,147.41,155.71,170.31,182.01,192.11,200.41,209.21,222.31,233.51,247.6
3Equals: Net value added5,735.15,711.75,727.05,897.45,982.06,097.56,248.26,249.06,293.66,443.36,524.06,551.56,757.56,808.46,790.76,946.17,008.17,067.37,089.17,143.5
4   Compensation of employees (paid)4,081.34,091.04,079.14,102.34,077.74,148.14,188.84,220.34,335.34,350.34,395.14,372.74,539.14,564.14,580.84,689.24,681.14,741.64,770.24,805.8
5      Wages and salaries3,371.73,379.73,369.93,388.83,379.73,437.43,470.83,496.63,599.93,612.23,648.93,630.63,781.83,802.33,816.13,905.33,898.83,948.63,972.24,001.5
6      Employers' social contributions709.6711.4709.2713.4698.0710.7718.0723.7735.4738.1746.1742.1757.3761.7764.7783.9782.3793.0798.0804.3
7   Taxes on production and imports less subsidies601.6604.5600.8616.6624.6631.1636.3640.1661.5671.5671.5678.0688.2688.7687.7696.9716.3718.3724.4727.1
8   Operating surplus, net1,052.21,016.21,047.11,178.61,279.81,318.31,423.21,388.61,296.81,421.51,457.51,500.71,530.21,555.71,522.21,560.01,610.81,607.41,594.51,610.6
9Net national income/Balance of primary incomes,
    net
567.4581.1630.7743.1839.9886.6966.1936.6855.7916.9918.2922.9914.1916.7899.4938.81,002.71,022.11,023.61,032.1
10   Operating surplus, net1,052.21,016.21,047.11,178.61,279.81,318.31,423.21,388.61,296.81,421.51,457.51,500.71,530.21,555.71,522.21,560.01,610.81,607.41,594.51,610.6
11   Property income received, net-484.8-435.1-416.5-435.4-439.8-431.8-457.1-452.0-441.2-504.7-539.2-577.9-616.1-638.9-622.8-621.1-608.1-585.4-570.9-578.5
12Net national income/Balance of primary incomes,
    net
567.4581.1630.7743.1839.9886.6966.1936.6855.7916.9918.2922.9914.1916.7899.4938.81,002.71,022.11,023.61,032.1
13Less: Current taxes on income, wealth, etc. (paid)167.7161.8170.0212.0208.8220.2229.3223.9219.8225.8235.6234.0265.8260.9259.8280.3282.4280.4282.1289.4
14Less: Other current transfers (paid)65.276.870.874.280.681.385.186.188.789.191.892.297.493.889.095.495.595.992.994.4
15Equals: Disposable income, net334.5342.6389.9457.0550.5585.1651.6626.6547.1602.0590.8596.7550.9562.1550.6563.1624.7645.7648.6648.3
16Equals: Net saving334.5342.6389.9457.0550.5585.1651.6626.6547.1602.0590.8596.7550.9562.1550.6563.1624.7645.7648.6648.3
                                              
                                                 Capital account
17Net saving less capital transfers334.6342.7291.8401.5491.7578.2655.2605.1552.9607.7598.3603.4557.4569.9559.8607.6634.4651.5653.1651.1
18   Net saving334.5342.6389.9457.0550.5585.1651.6626.6547.1602.0590.8596.7550.9562.1550.6563.1624.7645.7648.6648.3
19   Less: Capital transfers paid (net)-0.1-0.298.055.458.86.9-3.621.5-5.8-5.7-7.5-6.7-6.5-7.8-9.2-44.5-9.6-5.8-4.5-2.9
20Capital formation, net-3.6-112.9-149.7-32.050.0125.8213.4183.8141.4192.3169.4293.5301.0350.1337.3292.7310.9322.5381.4392.4
        Gross fixed capital formation (acquisition
          of
21   produced nonfinancial assets)1,206.21,143.51,116.01,102.01,128.01,170.61,196.81,228.81,238.91,272.51,331.81,372.51,408.81,445.01,445.41,460.61,467.81,492.81,512.41,546.9
22   Less: Consumption of fixed capital1,105.01,091.41,084.11,087.41,087.81,091.61,095.11,103.91,118.81,135.01,147.41,155.71,170.31,182.01,192.11,200.41,209.21,222.31,233.51,247.6
23   Acquisition of nonproduced nonfinancial assets25.12.2-1.0-1.2-1.4-0.4-0.9-1.7-1.2-0.70.3-0.30.40.10.12.50.81.82.70.2
24   Change in private inventories-129.9-167.2-180.6-45.411.347.2112.660.722.555.5-15.377.162.287.083.930.051.550.299.892.9
25Net lending (+) or borrowing (-), capital
    account (lines 17-20)
338.3455.7441.5433.5441.7452.4441.8421.3411.5415.5428.9309.9256.4219.8222.5314.9323.5329.1271.7258.7
                                         Financial
                                           account
26Net lending (+) or borrowing (-) (line 25)338.3455.7441.5433.5441.7452.4441.8421.3411.5415.5428.9309.9256.4219.8222.5314.9323.5329.1271.7258.7
27Net acquisition of financial assets-113.7213.4454.2645.1695.1529.3749.7556.8352.9421.2606.1606.9425.3684.6508.7406.71,161.7941.0820.81,034.9
28   Currency and deposits67.0-10.5593.3368.1153.090.4158.6192.392.335.7-0.625.7-111.7-72.0118.876.296.05.6295.6201.8
29      Currency and transferable deposits14.746.3100.5121.5119.769.648.780.355.4-2.81.369.5-154.3-47.456.621.131.0-74.8176.5154.4
30      Time and savings deposits48.2-58.8492.8225.57.018.6121.492.77.663.812.0-30.553.5-10.345.044.9-10.742.5119.6-8.0
31      Foreign deposits4.12.00.121.126.32.2-11.519.329.4-25.4-13.9-13.3-10.9-14.317.210.275.637.9-0.555.5
32   Debt securities15.722.4-11.638.717.716.155.2-26.7-48.0-4.3-13.031.3-90.419.840.1-19.3-95.427.75.39.7
33      Open market paper-9.73.4-14.215.319.911.736.8-20.420.2-9.7-26.015.0-32.4-2.412.9-11.5-9.8-9.2-8.30.9
34      Treasury securities42.63.1-4.28.5-2.410.57.54.5-40.5-7.614.713.2-47.137.513.4-18.0-29.919.41.26.8
35      Agency- and GSE-backed securities (1)-1.817.0-1.42.812.63.52.5-11.8-13.510.8-8.44.4-15.72.54.54.0-30.06.50.46.3
36      Municipal securities-15.4-1.28.212.1-12.4-9.68.41.0-14.22.26.7-1.34.8-17.89.46.2-25.711.012.1-4.3
37   Loans1.0-21.6-12.44.414.4-24.58.12.720.6-17.11.13.815.7-9.9-10.5-11.1-6.7-8.616.0-16.7
38      Short term (security repos and consumer
          credit)
5.1-17.5-8.38.515.9-22.99.64.221.2-16.61.74.317.6-8.1-8.6-9.2-8.3-10.214.4-18.2
39      Long term (mortgages)-4.0-4.1-4.1-4.1-1.5-1.6-1.6-1.6-0.6-0.6-0.6-0.6-1.9-1.9-1.9-1.91.51.61.61.6
40   Equity and investment fund shares306.1188.7125.9276.4139.240.9263.4290.7364.1406.8200.5484.5491.1196.3325.7419.2277.7376.3353.7385.3
41      Money market fund shares24.6-64.2-169.0-77.2-345.3-203.5-37.8-44.2-61.8-53.2-72.345.4126.7-61.721.184.0-29.3-22.8102.175.8
42      Mutual fund shares35.335.335.335.311.111.111.111.1-12.8-12.8-12.8-12.8-5.9-5.9-5.9-5.93.43.43.43.4
43      U.S. direct investment abroad260.1236.1265.6317.0374.5238.7291.1309.0389.8475.9290.7459.2369.7275.0311.5319.4247.3391.2247.6308.7
44      Equity in government-sponsored enterprises
          (1)
0.2-0.1-0.10.10.1-0.10.30.30.3-0.3-0.30.10.4-0.30.00.00.3-0.20.00.1
45      Investment in finance company subsidiaries-14.0-18.4-5.91.298.8-5.3-1.414.648.6-2.9-4.8-7.40.2-10.7-1.021.856.14.70.8-2.6
46   Insurance, pension and standardized guarantee
       schemes (2)
-5.4-2.6-0.6-7.27.519.916.23.3-2.719.410.422.1-5.98.26.623.1-11.91.4-4.8-8.9
47   Other accounts receivable-498.137.0-240.4-35.3363.3386.5248.494.5-73.4-19.2407.839.5126.5542.328.0-81.4902.0538.7154.9463.7
48      Trade receivables-165.8-96.028.5115.2146.0105.968.866.947.5138.284.164.365.77.0116.321.9334.5296.4243.1172.2
49      Other (miscellaneous assets)-332.4132.9-268.9-150.5217.3280.6179.627.6-120.9-157.4323.7-24.860.8535.3-88.3-103.4567.5242.3-88.3291.5
50Net incurrence of liabilities-789.6-204.9-62.361.9454.2401.5739.2355.3791.3843.5880.01,062.3862.2983.91,107.9988.0931.6782.7916.01,075.7
51   Debt securities323.1144.3138.697.4318.3113.2393.5120.2171.5234.0229.3179.2344.0256.1362.7443.7341.0155.2523.4155.2
52      Open market paper-138.8-132.82.0-22.750.362.743.8-58.725.849.529.728.5-7.929.0-35.570.520.1-20.192.0-35.2
53      Municipal securities43.021.048.038.644.425.823.739.916.03.79.13.97.625.69.410.011.04.4-1.3-7.4
54      Corporate bonds418.9256.088.681.6223.624.7326.0138.9129.7180.8190.5146.8344.4201.5388.7363.3310.0171.0432.7197.8
55   Loans-523.7-435.9-595.3-482.8-402.7-431.5-182.2-126.25.0109.0164.8204.5-133.6-99.7-93.096.6-44.6209.3101.3125.9
56      Short term-483.1-342.1-444.3-309.8-321.8-268.0-67.3-52.7127.0239.3254.5228.354.757.232.9126.857.2215.962.0126.6
57         Depository institution loans n.e.c.-186.3-212.5-325.9-211.5-232.6-118.4-31.134.0117.3114.8210.4165.9138.094.572.2101.244.775.395.679.5
58         Other loans and advances-296.8-129.6-118.4-98.3-89.2-149.7-36.2-86.79.6124.544.162.4-83.3-37.3-39.225.612.5140.6-33.647.1
59      Long term (mortgages)-40.6-93.8-151.0-173.0-80.9-163.5-114.9-73.5-121.9-130.3-89.7-23.8-188.3-156.9-125.9-30.1-101.8-6.539.3-0.7
60   Equity and investment fund shares-131.6194.2230.2-78.9-51.7-92.3-71.7-158.8-179.2-288.7-392.2-187.4-51.0-221.2-204.4-175.4-128.6-157.8-125.7-295.6
61      Corporate equities-138.8136.366.9-269.1-166.7-191.0-338.4-306.6-293.8-476.4-623.0-425.1-236.7-428.3-349.3-365.4-213.7-371.2-344.1-482.7
62      Foreign direct investment in the United
          States
7.257.9163.3190.1115.098.6266.7147.9114.6187.8230.8237.7185.7207.2144.9189.985.1213.4218.4187.1
63   Insurance, pension and standardized guarantee
       schemes
67.668.767.864.4-7.6-10.1-10.7-9.8-12.1-11.1-12.4-17.1-2.1-10.3-19.1-28.2115.2108.1102.498.7
64      Pension fund contributions payable-8.6-8.6-8.6-8.615.415.415.415.43.03.03.03.0-12.3-12.3-12.3-12.3-2.5-2.5-2.5-2.5
65      Claim of pension fund on sponsor76.277.376.473.0-22.9-25.5-26.1-25.2-15.1-14.0-15.4-20.110.22.0-6.8-15.9117.7110.5104.9101.1
66   Other accounts payable-525.1-176.396.4461.9597.9822.3610.5530.0806.2800.2890.6883.2704.81,058.91,061.7651.3648.6467.9314.5991.5
67      Trade payables-282.4-127.8-20.6100.2207.9121.9124.3171.2-21.231.812.677.561.369.097.034.8114.5103.9131.654.9
68      Taxes payable-34.8-7.517.511.713.8-3.40.617.630.0-17.823.4-0.42.117.0-9.4-0.4-12.0-25.0-6.57.1
69      Miscellaneous liabilities-207.9-41.099.5350.0376.2703.7485.6341.1797.3786.2854.5806.2641.5972.9974.0617.0546.0389.0189.4929.5
  Addendum:
70Net lending (+) or borrowing (-), financial
    account (lines 27-50)
675.9418.4516.5583.1240.9127.810.5201.5-438.4-422.3-273.9-455.4-436.9-299.3-599.2-581.4230.1158.3-95.2-40.7
                       Other changes in volume
                         account
71Total other volume changes6.1-201.1-93.7210.780.4213.3-151.349.7-59.7-39.8189.6-124.6-176.476.1-176.8-133.572.086.3-70.761.5
72   Disaster losses0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-6.90.00.00.00.0
73   Other volume changes-19.8-192.8-111.9121.8157.6279.0-43.552.1155.5133.6361.235.828.5193.027.266.0136.7118.924.2105.2
74   Less: Statistical discrepancy ((lines
       25-70)/4) (3)
-49.23.0-13.1-71.887.270.8112.323.8251.2195.9179.8162.2213.6114.2208.6196.265.325.894.946.7
75   Less: Inventory valuation adjustment23.45.4-5.1-17.1-10.0-5.2-4.5-21.3-36.0-22.4-8.1-1.8-8.72.8-4.6-3.6-0.56.90.0-3.0
                                           
                                              Revaluation account
76   Nonfinancial assets-543.7-1,194.1-955.065.8-205.1607.7145.9309.0349.8-62.618.9475.917.357.5361.3106.0167.4467.2509.3254.8
77      Real estate-537.1-1,199.4-962.353.2-209.2594.3102.7237.0278.7-102.63.6464.211.871.1318.596.6167.0452.3481.0234.2
78      Equipment15.01.0-7.9-24.2-24.213.925.226.217.424.215.119.98.7-4.53.65.88.39.617.8-6.7
79      Intellectual property products-9.0-8.73.617.11.810.8-2.312.216.49.64.2-2.313.57.57.1-8.2-1.310.011.720.7
80      Inventories-12.713.011.619.726.5-11.320.333.637.36.3-4.0-5.9-16.7-16.632.011.8-6.6-4.7-1.16.5
81   Financial assets32.255.931.8-135.2-102.2-28.657.6-58.8-59.744.7-39.7-1.0-28.36.765.632.0-103.2-10.859.838.5
82      Mutual fund shares-6.612.013.61.44.2-13.112.110.46.4-0.8-21.07.415.2-5.38.01.49.5-1.09.210.4
83      Direct investment abroad38.743.918.2-136.5-106.4-15.545.5-69.2-66.145.5-18.7-8.4-43.512.057.630.5-112.7-9.850.628.1
84   Liabilities-983.51,214.81,405.4609.6376.7-1,306.31,317.41,337.0889.65.7-1,970.41,313.01,571.0-403.4823.1-151.31,875.7275.01,125.11,736.3
85      Corporate equity-1,014.01,360.41,560.3758.4416.8-1,441.01,436.31,514.6982.512.3-2,180.31,493.71,753.5-466.4884.4-146.12,003.0319.21,217.31,832.5
86      Foreign direct investment in the United
          States
-68.3-6.30.1-94.121.12.90.1-38.8-18.5-10.92.0-63.3-32.413.213.2-6.84.2-20.7-10.731.6
87      Insurance, pension and standardized
          guarantee schemes
98.8-139.3-155.0-54.8-61.2131.8-119.0-138.8-74.54.4207.9-117.4-150.149.8-74.51.6-131.5-23.5-81.5-127.8
88Changes in net worth due to nominal holding
    gains/losses
472.0-2,353.0-2,328.5-679.0-684.11,885.4-1,113.8-1,086.7-599.5-23.61,949.6-838.2-1,582.0467.6-396.2289.2-1,811.5181.4-556.0-1,443.1
                    Changes in balance sheet account
89Change in net worth ((lines 20+25)/4 + lines
    71+88) (4)
561.7-2,468.4-2,349.3-367.9-480.72,243.3-1,101.4-885.7-520.988.42,288.7-811.9-1,619.1686.1-433.0307.7-1,581.0430.6-463.4-1,218.8
                       Balance sheet account (end
                         of period)
90Total assets28,826.327,695.226,876.927,177.527,136.627,967.328,366.128,952.129,471.929,591.929,712.430,501.830,738.131,039.531,639.831,941.432,481.533,275.534,121.934,829.2
91   Nonfinancial assets (5)16,004.914,763.113,777.713,860.113,657.514,402.314,571.314,935.415,375.815,379.815,438.715,992.916,097.816,235.516,678.616,853.017,083.317,612.318,219.218,568.5
92      Real estate8,838.57,644.86,696.96,761.66,535.47,236.47,309.27,540.07,840.67,741.17,745.28,228.48,261.08,348.78,681.88,794.18,964.19,428.99,942.310,199.2
93      Equipment3,861.93,848.83,828.43,793.13,765.13,781.83,815.63,853.63,885.73,924.93,962.84,008.04,046.44,073.44,105.84,139.44,179.24,218.94,262.94,287.4
94      Intellectual property products1,562.61,561.71,573.11,600.71,613.01,634.41,644.01,669.11,698.01,719.81,736.31,746.91,773.21,793.91,814.01,819.41,833.11,856.61,882.31,917.4
95      Inventories1,741.91,707.71,679.21,704.61,744.01,749.61,802.61,872.71,951.51,994.01,994.42,009.62,017.22,019.52,077.12,100.02,106.92,107.92,131.72,164.4
96   Financial assets12,821.412,932.113,099.213,317.513,479.113,565.013,794.814,016.814,096.114,212.114,273.714,508.914,640.314,804.014,961.215,088.415,398.215,663.315,902.816,260.7
97      Currency and deposits437.5434.9583.2675.2713.5736.1775.7823.8846.9855.8855.6862.1834.2816.1845.9864.9888.9890.3964.21,014.7
98            Currency and transferable deposits87.899.4124.5154.9184.8202.2214.4234.5248.3247.6247.9265.3226.7214.9229.0234.3242.1223.4267.5306.1
99            Time and savings deposits323.9309.2432.4488.8490.5495.2525.5548.7550.6566.6569.6561.9575.3572.8584.0595.2592.6603.2633.1631.1
100         Foreign deposits25.726.226.331.538.138.735.840.648.041.638.234.832.128.532.835.454.363.763.677.5
101      Debt securities123.0133.8128.2140.4141.0148.5160.2155.9141.3141.8137.5147.4123.4128.2137.5135.0110.3115.9117.1121.8
102         Open market paper49.955.949.756.057.163.670.768.070.469.662.067.958.357.660.059.556.252.650.352.9
103         Treasury securities41.141.940.843.042.445.046.948.037.936.039.743.031.240.643.939.432.036.837.138.8
104         Agency- and GSE-backed securities (1)9.714.013.614.317.518.319.016.012.615.313.214.310.411.012.113.15.77.37.48.9
105         Municipal securities22.322.024.127.124.021.623.723.920.420.922.622.323.519.021.422.916.519.222.321.2
106      Loans83.982.982.480.683.182.584.284.584.284.984.786.686.486.283.682.676.376.581.278.6
107         Short term51.351.351.851.154.053.755.856.556.457.257.259.259.459.757.657.150.450.154.551.5
108            Security repurchases7.57.99.07.99.09.211.512.112.612.811.912.613.913.811.29.79.28.612.58.7
109            Consumer credit43.843.442.843.245.044.544.344.443.844.445.346.645.545.946.447.441.241.542.042.8
110         Long term (mortgages)32.631.630.629.529.228.828.428.027.827.727.627.427.026.526.025.525.926.326.727.1
111      Equity and investment fund shares4,043.14,153.84,226.54,134.34,074.34,065.74,202.94,148.84,188.94,346.04,370.84,457.14,559.04,622.84,786.14,891.14,866.34,957.75,117.65,223.6
112         Money market fund shares733.1717.1674.8655.5569.2518.3508.9497.8482.4469.1451.0462.4494.1478.6483.9504.9497.6491.9517.4536.3
113         Mutual fund shares108.6129.4151.9162.0169.0158.7173.6186.8190.0186.0161.7165.9179.6172.9179.3179.3189.6189.5199.5210.7
114         U.S. direct investment abroad3,124.03,234.53,328.53,245.13,239.73,293.73,425.73,402.93,443.03,618.23,686.63,759.23,815.53,904.24,056.14,134.74,092.84,188.94,313.14,389.5
115         Equity in government-sponsored
             enterprises (1)
0.50.40.40.40.50.40.50.60.70.60.50.50.60.60.60.60.60.60.60.6
116         Investment in finance company
             subsidiaries
76.972.370.971.295.994.694.260.772.972.271.069.169.266.566.271.785.786.987.186.4
117      Insurance, pension and standardized
          guarantee schemes (2)
309.6308.9308.8307.0308.9313.8317.9318.7318.0322.9325.5331.0329.5331.6333.2339.0336.0336.4335.2333.0
118      Other accounts receivable7,824.37,817.77,770.17,979.98,158.48,218.38,253.98,485.08,516.78,460.78,499.68,624.78,707.98,819.18,774.98,775.89,120.49,286.59,287.59,489.0
119         Trade receivables2,101.42,121.92,114.72,064.52,148.12,215.72,221.42,157.62,221.52,296.12,306.52,241.12,308.52,352.02,370.62,293.92,427.82,544.42,594.52,555.4
120         Other (miscellaneous assets)5,722.95,695.85,655.45,915.56,010.36,002.66,032.56,327.46,295.26,164.56,193.16,383.66,399.56,467.16,404.36,481.96,692.56,742.16,693.06,933.6
121Total liabilities and net worth28,826.327,695.226,876.927,177.527,136.627,967.328,366.128,952.129,471.929,591.929,712.430,501.830,738.131,039.531,639.831,941.432,481.533,275.534,121.934,829.2
122   Liabilities21,592.922,930.224,461.125,129.725,569.624,156.925,657.127,128.928,169.628,201.126,032.927,634.229,489.629,104.830,138.130,132.032,253.232,616.633,926.435,852.4
123      Debt securities3,636.13,690.23,707.33,724.33,804.13,829.83,929.73,960.64,023.14,069.64,133.64,164.14,262.64,327.34,427.24,515.74,605.44,659.84,788.04,809.5
124         Open market paper106.986.272.958.473.682.097.982.9110.5106.9124.7116.3127.6132.1136.0130.3140.1147.2171.2144.5
125         Municipal securities442.2453.0461.2472.3481.0492.2494.6505.8508.3513.2511.8513.9515.0524.9523.7527.1529.5534.0530.0528.8
126         Corporate bonds3,087.03,151.03,173.23,193.63,249.53,255.73,337.23,371.93,404.33,449.53,497.23,533.93,619.93,670.33,767.53,858.33,935.83,978.64,086.74,136.2
127      Loans2,888.32,780.32,633.02,442.72,337.22,230.72,183.72,090.22,073.32,104.42,139.32,211.02,153.42,135.12,152.62,197.12,172.72,234.62,243.92,279.7
128         Short term2,029.51,945.31,834.71,684.81,600.11,535.61,516.71,425.31,439.31,504.71,561.91,637.61,627.01,649.81,699.41,749.01,750.51,815.41,815.81,848.9
129            Depository institution loans n.e.c.720.3661.3583.1545.8493.9461.1452.8477.1495.0524.4571.9629.2634.4662.3671.4712.1713.4739.0749.5785.8
130            Other loans and advances1,309.31,284.01,251.61,139.01,106.21,074.51,064.0948.1944.3980.3990.11,008.3992.6987.51,028.01,036.91,037.11,076.31,066.21,063.1
131         Long term (mortgages)858.8835.0798.3757.8737.1695.1667.0664.9634.0599.7577.3573.4526.4485.2453.2448.1422.2419.3428.1430.7
132      Equity and investment fund shares10,550.611,955.513,577.414,212.614,641.113,182.414,606.916,030.916,953.316,885.714,614.015,986.517,695.217,189.918,038.817,836.119,812.420,074.821,250.323,035.7
133         Corporate equity8,563.59,957.911,534.912,226.112,601.311,112.612,464.313,902.214,811.314,704.412,368.313,755.815,450.114,876.715,673.815,436.317,385.917,612.318,743.720,455.5
134         Foreign direct investment in the United
             States
1,987.11,997.52,042.41,986.42,039.92,069.92,142.62,128.72,142.02,181.32,245.72,230.72,245.12,313.22,365.12,399.82,426.52,462.52,506.62,580.2
135      Insurance, pension and standardized
          guarantee schemes
875.1752.2613.4574.1551.4721.2640.1539.3478.0495.8716.8611.3473.0532.5465.5472.3390.6415.2380.4298.4
136         Pension fund contributions payable81.979.777.675.479.383.187.090.891.592.393.093.890.787.684.581.480.880.279.679.0
137         Claim of pension fund on sponsor793.2672.5535.9498.6472.2638.1553.1448.5386.4403.5623.8517.6382.3444.9381.0390.9309.8335.0300.8219.4
138      Other accounts payable3,642.73,752.03,930.14,176.14,235.64,192.74,296.84,507.94,641.94,645.64,429.14,661.24,905.54,920.05,054.05,110.75,272.15,232.15,263.95,429.2
139         Trade payables1,587.01,566.61,556.51,590.11,628.31,669.71,697.51,746.41,729.21,747.51,748.31,771.61,775.61,804.11,825.51,837.11,854.61,892.81,922.31,938.3
140         Taxes payable40.234.641.735.749.543.947.142.960.750.659.551.762.060.361.254.060.448.149.744.9
141         Miscellaneous liabilities2,015.52,150.82,331.92,550.32,557.82,479.12,552.22,718.62,852.12,847.52,621.32,838.03,067.93,055.63,167.33,219.73,357.13,291.23,291.93,446.0
142   Net worth7,233.54,765.02,415.82,047.81,567.13,810.32,709.01,823.31,302.31,390.83,679.52,867.61,248.61,934.71,501.71,809.3228.4658.9195.5-1,023.2
       Footnotes


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