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Integrated Macroeconomic Accounts for the United States Table

S.6.q Financial Business
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 2/19/2017   Last Revised on December 14, 2016  

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

Line      2012   
I
   2012   
II
   2012   
III
   2012   
IV
   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
                                              
                                                 Current account
1Gross value added1,156.41,176.81,208.61,207.31,114.61,152.51,177.31,244.01,265.21,308.11,313.81,327.81,352.31,365.61,357.41,344.21,375.21,415.51,465.9
2Less: Consumption of fixed capital170.8173.6175.5177.0178.8181.4183.1185.4185.8188.3191.8194.7193.3196.1200.2203.0200.1202.6204.4
3Equals: Net value added985.61,003.21,033.11,030.3935.8971.1994.21,058.61,079.41,119.81,122.01,133.01,159.01,169.51,157.21,141.21,175.01,212.91,261.6
4   Compensation of employees (paid)595.2629.1625.3671.2614.9642.6646.4657.5679.8666.6679.8698.3703.3711.8719.2722.3720.1742.1760.0
5   Taxes on production and imports less subsidies60.159.860.360.660.759.959.558.967.067.367.768.372.973.774.174.774.774.475.1
6   Operating surplus, net330.4314.4347.5298.5260.2268.7288.3342.2332.6385.9374.5366.5382.8384.0363.9344.2380.2396.4426.5
7Net national income/Balance of primary incomes,
    net
406.5337.7339.075.5258.713.3207.8156.5176.8241.2284.2267.0280.8297.7270.4277.0277.2313.8363.8
8   Operating surplus, net330.4314.4347.5298.5260.2268.7288.3342.2332.6385.9374.5366.5382.8384.0363.9344.2380.2396.4426.5
9   Property income received, net76.223.3-8.5-222.9-1.5-255.4-80.4-185.8-155.8-144.8-90.4-99.5-102.0-86.2-93.5-67.2-103.1-82.6-62.7
10Net national income/Balance of primary incomes,
    net
406.5337.7339.075.5258.713.3207.8156.5176.8241.2284.2267.0280.8297.7270.4277.0277.2313.8363.8
11Less: Current taxes on income, wealth, etc. (paid)176.9189.0191.2166.7170.4180.4191.0194.5227.0237.7207.1204.6239.9221.7223.9297.3214.8222.5233.7
12Less: Other current transfers (paid)-13.1-22.0-28.9-39.0-29.6-25.0-21.3-0.1-18.2-9.653.19.316.127.527.626.351.057.838.9
13Equals: Disposable income, net242.7170.6176.7-52.1117.9-142.138.2-38.0-32.013.124.053.024.848.518.9-46.611.433.591.2
14Equals: Net saving242.7170.6176.7-52.1117.9-142.138.2-38.0-32.013.124.053.024.848.518.9-46.611.433.591.2
                                              
                                                 Capital account
15Net saving less capital transfers261.6170.7176.7-109.4117.9-142.138.2-38.0-32.013.1-16.053.024.848.518.9-46.611.426.391.2
16   Net saving242.7170.6176.7-52.1117.9-142.138.2-38.0-32.013.124.053.024.848.518.9-46.611.433.591.2
17   Less: Capital transfers paid (net)-18.9-0.10.057.30.00.00.00.00.00.040.00.00.00.00.00.00.07.20.0
18Capital formation, net16.917.116.321.222.118.716.219.320.827.831.230.439.738.442.640.842.340.842.6
19   Gross fixed capital formation (nonresidential)187.7190.7191.7198.2200.9200.1199.3204.6206.6216.1223.0225.2233.0234.5242.8243.8242.5243.4246.9
20   Less: Consumption of fixed capital170.8173.6175.5177.0178.8181.4183.1185.4185.8188.3191.8194.7193.3196.1200.2203.0200.1202.6204.4
21Net lending (+) or borrowing (-), capital
    account (lines 15-18)
244.7153.6160.5-130.695.8-160.821.9-57.3-52.8-14.7-47.122.6-14.910.2-23.7-87.4-30.9-14.548.7
                                         Financial
                                           account
22Net lending (+) or borrowing (-) (line 21)244.7153.6160.5-130.695.8-160.821.9-57.3-52.8-14.7-47.122.6-14.910.2-23.7-87.4-30.9-14.548.7
23Net acquisition of financial assets1,315.8278.31,516.52,835.34,111.92,544.13,176.32,398.73,645.92,574.02,236.41,723.42,695.1944.31,208.0599.04,190.62,100.82,745.8
24   Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
25   Currency and deposits-252.6-273.5-126.3460.01,246.4869.01,175.1-20.2711.9140.3511.8-855.7296.1-879.9-346.9-1,114.9952.6-706.2-1,421.6
26   Debt securities1,743.0210.3919.2925.62,144.4583.7505.21,970.71,059.21,025.0740.7476.1385.3127.2-52.02,106.41,326.01,414.8844.1
27      Open market paper-39.8-10.8-45.594.198.3-54.187.8-50.854.740.0-115.9-79.6-60.465.565.31.4287.5-140.1-575.6
28      Treasury securities868.357.2499.2-133.8746.4-39.436.51,182.41,049.2421.0864.388.686.6-248.7-40.11,870.4634.7460.1949.1
29      Agency- and GSE-backed securities (1)304.8115.6-187.4436.4611.9517.416.8405.8-248.9212.4-96.2393.660.1-102.0-39.8192.0206.2652.8343.1
30      Municipal securities134.895.5127.4102.267.0-5.6-67.2-57.1-14.429.7-18.754.0138.541.122.358.766.6125.8-76.9
31      Corporate and foreign bonds475.0-47.2525.5426.7620.9165.4431.4490.3218.6321.9107.319.6160.4371.3-59.7-16.0130.9316.2204.4
32   Loans-122.0449.8498.2716.1-422.647.1324.1289.3517.91,120.3548.0955.3710.01,088.0732.5604.1463.01,462.62,032.1
33      Short term-4.4539.6589.5681.7-386.3-79.1176.7153.5434.8948.0331.2673.1506.5619.5356.2164.285.8967.31,487.5
34      Long term (mortgages)-117.6-89.9-91.334.4-36.3126.2147.3135.783.1172.4216.8282.2203.6468.5376.3440.0377.3495.3544.7
35   Equity and investment fund shares-42.1-303.5178.1265.078.2-109.2227.7687.4-77.9118.5176.2677.7139.3470.3217.4291.6342.4-35.3569.3
36      Corporate equities5.6-12.0-33.3-37.8-134.5-40.6-21.5340.0-286.0-72.4120.1189.7-50.4127.916.556.9-369.6-285.86.2
37      Mutual fund shares-46.2-76.976.559.8165.4142.2109.3107.65.3-3.626.049.190.878.2-110.422.3104.3-61.1-1.5
38      Money market mutual fund shares-407.2-129.7-0.8187.5-213.0-23.8103.4-103.4-40.1-153.527.7243.1113.7-62.1105.1-9.9144.3-75.4-31.3
39      Equity in government-sponsored enterprises
          (1)
-3.3-2.5-1.9-0.2-3.70.2-1.64.4-6.46.00.71.1-5.03.9-3.06.9-6.68.81.7
40      U.S. direct investment abroad37.713.113.417.748.49.174.4-31.636.80.543.1-3.838.244.47.612.937.1111.842.6
41      Stock in Federal Reserve Banks1.30.50.10.00.8-0.3-0.20.32.20.40.11.51.01.20.60.72.50.10.3
42      Investment in subsidiaries370.0-95.8124.238.1214.8-196.1-36.1370.1210.3341.1-41.5197.0-49.0276.9201.0201.8430.3266.2551.4
43   Insurance, pension and standardized guarantee
       schemes
349.3305.1384.3422.5215.7728.9975.1-533.3377.0455.0258.1363.4730.7863.8809.0-1,012.9254.0299.6310.3
44   Other accounts receivable-359.8-109.8-337.146.1849.7424.6-30.94.91,057.7-285.11.6106.6433.6-725.3-152.0-275.3852.5-334.7411.5
45Net incurrence of liabilities1,159.7293.41,668.02,723.23,778.72,409.02,514.22,916.43,755.52,662.01,888.61,751.62,376.8732.81,026.2636.73,903.22,011.42,442.9
46   Currency and deposits668.2314.3362.21,033.72,459.22,123.51,841.51,012.72,392.3716.71,229.8-390.01,242.7-509.4185.6-129.11,806.292.3202.4
47   Debt securities-416.8-406.3-304.7-137.4-123.2-177.738.7522.0-365.7324.4316.0403.7-208.4269.7276.1318.1357.7390.6445.0
48      Agency- and GSE-backed securities (1)-147.524.2-20.448.6170.9265.7180.8335.9-266.0207.3206.4453.5-148.6213.7318.6498.160.8580.4291.7
49      Corporate bonds-195.1-373.1-224.1-142.6-260.2-379.7-58.6200.6-52.4143.647.488.133.2-55.157.9-91.3129.4-156.9186.2
50      Commercial paper-74.1-57.5-60.2-43.3-34.0-63.7-83.5-14.6-47.2-26.462.2-137.8-93.0111.1-100.3-88.8167.5-32.9-32.8
51   Loans128.272.0227.186.1-520.5-92.3-254.796.7310.0368.2-288.6243.438.6-134.8240.6-234.5-450.0396.1573.5
52      Short term123.573.0216.680.8-541.1-152.1-212.655.6298.7361.6-278.7214.422.2-148.1226.2-206.5-447.0414.1600.1
53      Long term (mortgages)4.7-1.010.55.220.659.8-42.141.111.46.5-9.929.016.413.314.4-28.0-3.1-18.0-26.6
54   Equity and investment fund shares516.7334.9955.11,137.2887.1311.7553.2999.4596.1837.8509.11,190.5419.6766.2324.9646.71,029.0323.41,089.7
55      Money market mutual fund shares-218.0-142.132.8336.1-174.9102.0245.8-74.3-118.7-130.222.2254.1-84.443.543.4118.0257.0-94.7-263.9
56      Corporate equity issues59.2124.0263.1210.9230.773.7190.9206.933.4295.5195.5417.8313.6169.6139.8308.4146.0108.8418.6
57      Mutual fund shares394.8292.2484.5373.6621.3150.9260.1352.9340.4345.9287.2265.3253.1225.1-35.4-59.5-22.579.8204.0
58      Equity in government-sponsored enterprises
          (1)
-2.6-3.2-1.50.0-3.61.1-0.65.0-4.76.11.42.0-4.34.2-2.47.6-5.910.52.6
59      Foreign direct investment in the United
          States
-36.787.722.512.249.131.016.322.429.714.927.913.833.526.912.452.5222.925.6140.9
60      Equity in noncorporate business28.84.8-4.8-2.0-5.30.6-17.21.03.9-1.36.9-1.3-1.2-2.024.2-11.7-12.2-7.613.1
61      Investment by parent289.9-29.1158.3206.5168.9-47.4-141.9485.3309.9306.4-32.1237.3-91.5297.6142.3230.7441.0200.8574.0
62      Stock in Federal Reserve Banks1.30.50.10.00.8-0.3-0.20.32.20.40.11.51.01.20.60.72.50.10.3
63   Insurance, pension and standardized guarantee
       schemes
576.3259.1548.4548.6363.5502.3569.6583.1297.6376.2356.1413.2491.7491.6468.6545.9659.4485.0505.6
64   Other accounts payable-312.9-280.5-120.255.1712.6-258.4-234.2-297.4525.238.7-233.9-109.2392.5-150.6-469.5-510.3501.0324.1-373.4
  Addendum:
65Net lending (+) or borrowing (-), financial
    account (lines 23-45)
156.1-15.1-151.5112.2333.2135.1662.0-517.7-109.6-88.0347.8-28.2318.3211.5181.8-37.7287.489.4302.9
                       Other changes in volume
                         account
66Total other volume changes332.3-24.5-169.1-2.997.060.2156.8-111.4-4.526.945.9-139.339.2141.124.6-117.179.649.2154.4
67   Disaster losses0.00.00.0-2.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
68   Other volume changes355.512.9-70.8-78.141.4-24.617.2-9.717.031.5-36.0-136.9-33.976.2-14.9-137.013.56.498.7
69   Less: Statistical discrepancy ((lines
       22-65)/4) (2)
23.237.498.2-77.2-55.6-84.8-139.6101.721.54.6-82.02.4-73.1-64.9-39.4-19.9-66.1-42.8-55.7
                                           
                                              Revaluation account
70   Nonfinancial assets10.88.61.1-2.15.211.59.211.412.28.36.61.93.30.410.35.4-5.06.8-3.0
71      Structures (nonresidential)9.18.30.7-2.93.09.66.611.89.66.35.92.61.50.99.56.5-4.37.9-1.9
72      Equipment1.3-0.20.61.21.21.42.6-0.41.91.80.91.02.1-0.1-0.5-0.8-0.1-0.40.8
73      Intellectual property products0.30.5-0.2-0.51.00.50.00.10.70.2-0.2-1.7-0.2-0.41.2-0.4-0.6-0.7-2.0
74   Financial assets1,309.7-509.4755.7168.8890.8-150.5834.3970.9326.2745.3-300.8407.9468.8-201.4-1,572.9593.5185.4461.2698.2
75      Debt securities15.066.181.310.4-88.6-211.0-68.0-69.193.096.915.159.2-18.0-158.0-42.4-82.8227.1183.8-4.2
76      Corporate equities1,297.0-555.7655.694.81,050.9144.1865.21,188.0215.9640.9-262.9444.5336.2-38.5-1,458.2751.4-49.7252.8659.3
77      Mutual fund shares360.4-135.4195.933.6251.7-16.4238.0266.080.3176.2-83.063.8206.6-21.1-375.0140.013.098.0199.4
78      U.S. direct investment abroad0.00.00.022.40.00.00.0-83.20.00.00.0-1.90.00.00.0-26.70.00.00.0
79      Insurance, pension, and standardized
          guarantee schemes
-362.7115.6-177.07.6-323.2-67.2-201.0-330.8-62.9-168.730.0-157.7-56.016.2302.7-188.4-4.9-73.4-156.3
80   Liabilities1,916.9-686.7889.6206.11,391.5171.1996.51,354.6412.5784.9-312.0613.3566.2-52.4-1,900.9711.9-176.1534.3783.2
81      Corporate equity issues654.5-239.8199.2116.3489.5214.1164.1438.0132.5142.7-29.2370.555.318.0-555.7214.9-230.1179.172.7
82      Mutual fund shares813.1-290.4446.067.1547.0-58.1537.6596.8182.9416.5-202.8111.3264.6-46.1-878.9311.227.0225.0465.3
83      Foreign direct investment in the United
          States
0.00.00.0-2.20.00.00.0-50.40.00.00.013.40.00.00.0-26.90.00.00.0
84      Equity in noncorporate business-2.5-1.31.70.82.0-0.22.5-0.10.00.4-1.10.30.1-0.4-5.40.1-0.41.40.4
85      Pension fund reserves418.1-143.3224.121.0327.615.5271.6346.489.4210.1-73.2108.3237.9-21.2-429.4199.725.0120.1229.0
86      Investment by parent0.0-0.10.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
87Changes in net worth due to nominal holding
    gains/losses
-596.4186.0-132.8-39.4-495.6-310.1-153.0-372.3-74.1-31.417.8-203.5-94.1-148.6338.3-113.1356.6-66.2-88.0
                    Changes in balance sheet account
88Change in net worth ((lines 18+21)/4 + lines
    66+87) (3)
-198.8204.2-257.7-69.6-369.1-285.413.3-493.2-86.6-1.259.7-329.5-48.74.6367.6-241.8439.1-10.489.2
                       Balance sheet account (end
                         of period)
89Total assets76,761.676,315.877,709.578,702.480,438.380,934.682,600.684,188.885,254.086,706.687,047.088,007.289,000.189,143.487,953.388,460.389,525.190,676.492,190.4
90   Nonfinancial assets (4)1,636.31,649.21,654.31,655.51,666.11,682.31,695.51,711.91,729.31,744.51,758.91,768.31,781.61,791.51,812.41,828.01,833.81,851.01,858.7
91      Structures (nonresidential)993.4999.6998.2992.0992.6999.81,004.11,013.51,021.81,027.11,031.91,033.71,035.11,035.91,045.41,051.71,047.31,055.11,053.3
92      Equipment491.3495.6500.5506.0513.4520.7528.6534.3542.7551.7560.7569.0579.9588.3597.0605.2613.7621.4630.1
93      Intellectual property products151.6154.0155.6157.4160.1161.7162.9164.1164.8165.7166.3165.6166.6167.3170.0171.1172.9174.5175.3
94   Financial assets75,125.374,666.676,055.277,046.978,772.379,252.380,905.182,476.983,524.784,962.185,288.186,238.987,218.687,351.986,140.986,632.387,691.388,825.490,331.6
95      Monetary gold11.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.0
96      Currency and deposits2,703.72,638.22,625.62,759.03,042.03,264.33,569.23,575.23,725.53,769.03,905.33,699.53,743.63,533.83,458.93,186.53,397.03,244.12,901.1
97      Debt securities20,438.120,476.620,789.321,159.121,536.621,403.421,459.621,979.822,259.322,528.622,759.623,069.223,072.722,905.322,871.023,434.823,901.524,374.524,615.2
98         Open market paper717.5703.3692.2688.2735.9730.7743.4709.0740.9749.7740.2684.9696.4730.3754.0704.2787.6770.8642.4
99         Treasury securities5,460.15,425.05,545.85,632.95,748.95,646.35,645.16,063.86,272.36,310.26,526.56,700.26,663.06,503.36,501.17,096.67,220.47,272.67,502.6
100      Agency- and GSE-backed securities (1)5,733.15,777.35,737.85,861.75,976.26,079.96,083.96,185.36,106.46,174.06,162.56,298.66,280.36,250.66,251.76,306.16,339.26,519.76,612.5
101      Municipal securities1,846.21,866.61,910.71,954.41,957.81,912.41,880.51,875.91,888.71,905.11,930.51,967.81,988.51,976.61,990.32,027.62,059.92,109.52,086.2
102      Corporate and foreign bonds6,681.06,704.46,902.87,021.97,117.87,034.07,106.67,145.87,251.07,389.67,399.97,417.77,444.57,444.57,373.97,300.37,494.37,701.97,771.5
103      Loans21,599.821,697.221,873.022,100.921,820.721,854.421,940.322,053.722,010.622,340.022,485.322,800.622,797.223,124.623,315.523,535.023,469.023,905.624,418.3
104         Short term8,650.68,817.79,041.49,289.79,060.39,090.19,144.19,240.49,208.89,506.99,591.39,837.09,819.910,040.210,127.410,248.610,120.210,436.510,799.9
105         Long term (mortgages)12,949.212,879.512,831.612,811.312,760.412,764.312,796.212,813.412,801.812,833.112,894.012,963.612,977.213,084.413,188.213,286.413,348.813,469.013,618.4
106      Equity and investment fund shares21,414.020,666.321,646.521,857.023,203.923,311.924,452.325,937.126,239.027,103.526,782.627,434.628,037.028,117.926,321.027,083.427,157.127,475.928,459.7
107         Corporate equities11,785.411,242.811,873.511,934.412,976.713,126.313,970.015,218.415,388.216,025.815,777.516,244.716,593.416,601.915,133.215,873.215,756.415,952.316,599.3
108         Mutual fund shares4,259.54,106.04,318.14,370.94,661.54,681.64,944.05,241.25,320.45,496.85,417.15,497.75,724.55,729.15,323.35,473.55,510.05,593.95,789.7
109         Money market fund shares714.7682.3682.1729.0675.7669.7695.6669.8659.7621.4628.3689.1717.5702.0728.3725.8761.9743.0735.2
110         Equity in government-sponsored
             enterprises (1)
34.734.133.633.532.632.732.333.431.833.333.433.732.533.432.734.432.734.935.4
111         U.S. direct investment abroad851.8857.0859.5883.2897.4901.7919.6825.1836.5838.5848.8842.3854.1866.9868.6841.4852.9882.5893.1
112         Stock in Federal Reserve Banks27.227.327.427.427.627.527.427.528.128.228.228.628.829.129.329.530.130.130.2
113         Investment in subsidiaries3,740.73,716.83,852.33,878.83,932.53,872.43,863.33,921.73,974.34,059.64,049.24,098.54,086.24,155.54,205.74,105.64,213.24,239.14,376.9
114      Insurance, pension and standardized
          guarantee schemes
4,706.74,915.24,841.54,913.24,696.24,840.94,903.64,410.14,514.14,509.04,642.74,566.34,769.55,025.05,572.55,124.95,260.45,315.45,278.7
115      Other accounts receivable4,252.04,262.14,268.24,246.74,461.74,566.34,569.14,509.94,765.14,701.04,701.54,657.64,787.54,634.34,591.04,256.74,495.34,498.94,647.6
116Total liabilities and net worth76,761.676,315.877,709.578,702.480,438.380,934.682,600.684,188.885,254.086,706.687,047.088,007.289,000.189,143.487,953.388,460.389,525.190,676.492,190.4
117   Liabilities75,487.774,837.876,489.177,551.679,656.780,438.382,091.084,172.485,324.186,778.087,058.688,348.489,390.089,528.687,970.988,719.889,345.490,507.291,932.0
118      Currency and deposits13,535.913,618.213,694.714,084.714,575.515,121.115,555.215,943.916,417.716,624.816,887.016,931.117,117.617,025.617,014.617,128.617,455.717,525.417,501.9
119      Debt securities13,069.812,934.912,970.112,924.012,886.412,819.112,816.112,924.312,831.112,901.412,975.813,066.613,014.113,071.413,135.413,110.813,199.413,289.313,372.3
120         Agency- and GSE-backed securities (1)7,515.47,523.77,525.97,535.47,571.57,640.17,692.77,773.77,701.17,754.57,813.77,924.07,880.87,935.28,023.08,144.48,154.08,299.58,380.8
121         Corporate bonds5,050.24,938.64,989.64,939.44,861.14,753.14,723.64,750.44,731.84,762.34,766.24,779.74,784.84,764.34,770.14,646.24,677.14,630.04,643.8
122         Commercial paper504.3472.6454.6449.1453.8426.0399.9400.2398.2384.5395.9362.9348.5371.9342.3320.1368.4359.8347.7
123      Loans4,936.54,979.45,084.55,108.64,959.94,962.74,887.94,915.94,970.55,089.75,011.15,082.15,066.25,060.65,108.85,059.64,917.85,046.15,202.0
124         Short term4,745.84,789.04,891.54,914.24,760.44,748.34,684.04,701.64,753.44,870.94,789.84,850.64,830.74,821.84,866.34,824.14,683.24,815.94,978.5
125         Long term (mortgages)190.7190.5193.1194.4199.5214.5204.0214.3217.1218.7221.3231.4235.5238.8242.4235.4234.7230.2223.5
126      Equity and investment fund shares21,464.620,993.621,978.922,509.623,751.323,944.824,785.426,035.026,481.827,217.127,110.827,955.728,363.228,489.327,132.127,695.327,732.428,136.828,950.9
127         Money market fund shares2,581.72,513.52,550.92,693.22,593.52,583.12,678.42,717.82,630.92,559.72,603.52,724.62,644.72,615.12,667.72,754.72,758.82,692.22,672.0
128         Corporate equity issues4,721.44,512.64,777.64,946.75,493.85,726.35,938.26,427.96,568.76,785.36,805.07,279.97,413.77,474.16,953.37,245.37,051.77,258.07,435.4
129         Mutual fund shares9,888.69,680.810,213.810,363.511,103.211,089.711,656.512,333.012,640.713,148.612,978.913,150.613,519.913,533.612,605.712,897.212,962.113,208.813,682.6
130         Equity in government-sponsored
             enterprises (1)
42.441.641.341.240.440.640.541.740.542.142.442.941.842.942.344.242.745.446.0
131         Foreign direct investment in the United
             States
552.7574.6580.3581.1593.4601.2605.2560.5567.9571.6578.6595.5603.8610.6613.7599.9655.6662.0697.3
132         Equity in noncorporate business16.516.416.917.217.917.916.116.317.217.317.917.917.616.817.514.711.210.714.4
133         Investment by parent3,634.03,626.63,770.73,839.23,881.43,858.63,823.13,910.33,987.84,064.44,056.34,115.74,092.84,167.24,202.84,109.94,220.14,229.74,373.2
134         Stock in Federal Reserve Banks27.227.327.427.427.627.527.427.528.128.228.228.628.829.129.329.530.130.130.2
135      Insurance, pension and standardized
          guarantee schemes
20,940.420,855.521,240.721,407.221,869.222,028.322,481.123,015.323,225.023,582.323,630.523,889.524,300.324,440.924,138.724,529.424,763.225,072.425,485.2
136      Other accounts payable1,540.51,456.21,520.21,517.71,614.31,562.21,565.31,338.11,398.11,362.81,443.41,423.41,528.51,440.81,441.41,196.21,276.91,437.31,419.7
137   Net worth1,273.91,478.11,220.41,150.8781.7496.3509.616.4-70.2-71.4-11.6-341.1-389.8-385.2-17.6-259.5179.6169.2258.4
       Footnotes


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