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Integrated Macroeconomic Accounts for the United States Table

S.8.a State and Local Governments (1)
[Billions of Dollars]
Today is: 11/20/2017   Last Revised on September 27, 2017 

Data Table Options
First Year Last Year Series: Annual(A)  Quarterly(Q) Monthly(M)
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Line      2009       2010       2011       2012       2013       2014       2015       2016   
                                              
                                                 Current account
1Gross value added1,419.41,454.21,471.41,496.51,532.01,578.21,630.11,676.6
2Less: Consumption of fixed capital208.2212.7222.2231.9238.5245.9250.6254.9
3Equals: Net value added1,211.31,241.51,249.21,264.61,293.51,332.31,379.51,421.7
4   Compensation of employees (paid)1,232.61,261.31,266.51,275.01,303.31,342.21,389.01,428.3
5      Wages and salaries862.9862.6863.1870.6887.6912.9945.2971.1
6      Employers' social contributions369.7398.7403.5404.4415.8429.3443.9457.2
7   Operating surplus, net-21.4-19.8-17.4-10.4-9.8-9.9-9.6-6.6
8Net national income/Balance of primary incomes,
    net
811.0829.5864.6880.3914.5971.21,000.01,025.1
9   Operating surplus, net-21.4-19.8-17.4-10.4-9.8-9.9-9.6-6.6
10   Taxes on production and imports, receivable934.8960.4994.01,016.91,050.11,086.21,115.61,151.0
11   Subsidies (paid)-1.4-1.6-0.5-0.5-0.5-0.5-0.5-0.5
12   Property income (received)87.882.679.275.475.475.376.378.2
13      Interest74.469.164.859.858.958.659.460.3
14      Distributed income of corporations
          (dividends)
2.12.32.63.33.63.84.24.6
15      Rents on land and natural resources11.211.211.712.312.912.912.713.3
16   Less: Uses of property income (interest paid)188.8192.1190.7201.2200.7180.0181.7197.0
17Net national income/Balance of primary incomes,
    net
811.0829.5864.6880.3914.5971.21,000.01,025.1
18Plus: Current taxes on income, wealth, etc.
    (received)
333.4345.3374.3399.1431.3440.5468.6477.7
19Plus: Social benefits (received)18.618.118.218.018.519.619.820.3
20Less: Social contributions (paid)492.6523.8530.4540.0563.4616.9664.0692.6
21Plus: Other current transfers (received)566.1612.0582.1558.0571.3625.0680.0695.6
22Less: Other current transfers (paid)0.00.00.00.00.00.00.00.0
23Equals: Disposable income, net1,236.41,281.01,308.91,315.51,372.21,439.31,504.41,526.1
24Less: Final consumption expenditures1,508.41,518.31,524.81,536.31,562.71,608.21,650.81,693.6
25Equals: Net saving-271.9-237.3-215.9-220.8-190.5-168.9-146.4-167.4
                                              
                                                 Capital account
26Net saving less capital transfers-204.2-160.6-142.1-146.6-118.9-98.2-77.4-95.0
27   Net saving-271.9-237.3-215.9-220.8-190.5-168.9-146.4-167.4
28   Less: Capital transfers paid (net)-67.7-76.7-73.8-74.2-71.6-70.7-69.0-72.4
29Capital formation, net167.2149.7127.6107.094.494.2103.898.4
     Gross fixed capital formation (acquisition of
30   produced nonfinancial assets)363.0351.9340.5329.7323.9330.7344.1342.7
31   Less: Consumption of fixed capital208.2212.7222.2231.9238.5245.9250.6254.9
32   Acquisition of nonproduced nonfinancial assets12.310.69.29.19.09.510.210.5
33Net lending (+) or borrowing (-), capital
    account (lines 26-29)
-371.4-310.3-269.6-253.6-213.3-192.5-181.2-193.4
                                         Financial
                                           account
34Net lending (+) or borrowing (-) (line 33)-371.4-310.3-269.6-253.6-213.3-192.5-181.2-193.4
35Net acquisition of financial assets71.7126.3-16.5-23.367.337.538.4150.8
36   Currency and deposits26.25.934.82.622.427.12.21.2
37      Currency and transferable deposits14.96.017.1-14.93.414.3-12.3-5.4
38      Time and savings deposits11.3-0.117.817.519.012.814.56.6
39   Debt securities-5.182.0-56.3-32.0-7.1-16.5-3.791.1
40      Open market paper-34.915.5-11.9-11.4-6.1-9.3-4.50.3
41      Treasury securities-5.617.3-32.025.41.922.128.863.5
42      Agency- and GSE-backed securities (2)25.735.8-11.4-40.9-9.6-28.7-33.416.7
43      Municipal securities1.41.70.3-0.40.50.00.40.8
44      Corporate and foreign bonds8.411.7-1.3-4.76.1-0.45.09.8
45   Loans15.020.6-2.5-4.616.02.213.220.3
46      Short term0.01.8-4.1-1.26.91.96.27.8
47      Long term (mortgages)15.018.71.7-3.39.00.27.012.5
48   Equity and investment fund shares17.723.70.1-5.913.11.511.217.6
49      Money market fund shares14.017.73.0-2.28.11.97.29.7
50      Corporate equities0.72.1-3.0-2.53.3-0.22.75.2
51      Mutual fund shares3.04.00.0-1.31.7-0.11.42.7
52   Other accounts receivable17.9-5.97.416.622.923.215.320.5
53      Trade receivables-4.613.15.65.49.411.13.910.3
54      Taxes receivable-5.81.02.49.55.17.83.53.5
55      Other (miscellaneous assets)28.3-20.0-0.61.78.44.38.06.8
56Net incurrence of liabilities537.9383.6259.2208.8298.0189.2200.3291.6
57   Debt securities (municipals)133.375.8-44.5-6.0-55.5-35.69.529.7
58      Short term7.9-0.9-10.63.8-10.9-6.4-5.9-2.8
59      Other125.476.7-33.8-9.8-44.5-29.215.532.5
60   Loans (short term)0.80.90.90.40.50.40.30.9
61   Insurance, pension and standardized guarantee
       schemes
364.8268.5264.5176.3314.8185.1149.9219.8
     (claim of pension funds on sponsor)
62   Other accounts payable (trade payables)38.938.538.438.138.239.440.541.2
  Addendum:
63Net lending (+) or borrowing (-), financial
    account (lines 35-56)
-466.2-257.3-275.7-232.1-230.7-151.7-161.9-140.8
                       Other changes in volume
                         account
64Total other volume changes-55.9-189.91.439.6-20.4-9.7-29.522.5
65   Disaster losses0.00.00.0-7.60.00.00.00.0
66   Other volume changes38.9-242.87.425.7-3.0-50.5-48.8-30.0
67   Less: Statistical discrepancy (lines 33-63) (3)94.8-52.96.1-21.517.4-40.8-19.3-52.5
                                           
                                              Revaluation account
68Nonfinancial assets-105.2175.7392.7225.9240.2170.639.2259.6
69   Structures-104.3171.9389.2222.6236.6166.538.7258.4
70   Equipment-1.12.41.61.91.72.80.60.6
71   Intellectual property products0.31.41.91.41.81.2-0.10.6
72Financial assets (equity and investment fund
    shares)
32.621.51.918.837.413.6-1.514.3
73Liabilities (claim of pension funds on sponsor)-425.5-249.242.4-280.5-498.4-156.7109.3-181.8
74Changes in net worth due to nominal holding
    gains/losses
352.9446.4352.2525.1776.0340.9-71.6455.7
                    Changes in balance sheet account
75Change in net worth (lines 29+33+64+74)92.896.0211.5418.1636.6233.0-178.5383.2
                       Balance sheet account (end
                         of period)
76Total assets10,927.911,386.511,879.912,200.012,626.312,937.613,116.413,634.9
77   Nonfinancial assets (4)8,243.08,557.59,068.69,384.79,710.39,965.710,098.510,446.0
78      Structures7,903.68,207.78,711.99,022.99,341.59,589.99,718.310,060.1
79      Equipment240.9245.4246.5246.7247.7249.5249.7251.1
80      Intellectual property products98.5104.4110.2115.2121.2126.3130.4134.8
81   Financial assets2,684.92,829.02,811.32,815.22,915.92,971.93,017.93,188.9
82      Currency and deposits354.5360.4395.2416.9439.4466.5468.7469.9
83         Currency and transferable deposits79.085.0102.092.495.9110.297.992.5
84         Time and savings deposits275.5275.4293.2324.5343.5356.3370.8377.4
85      Debt securities1,336.91,418.91,362.61,330.61,323.51,307.01,303.41,394.5
86         Open market paper89.3104.893.081.575.466.161.661.9
87         Treasury securities586.9604.2572.2597.6599.6621.6650.4713.9
88         Agency- and GSE-backed securities (2)491.9527.7516.2475.3465.7437.1403.7420.4
89         Municipal securities11.513.213.513.113.613.614.014.8
90         Corporate and foreign bonds157.3169.0167.6163.0169.1168.7173.7183.4
91      Loans320.2337.3332.0325.0339.5340.9353.3373.2
92         Short term126.5128.3124.2122.9129.9131.8138.1145.8
93         Long term (mortgages)193.7209.0207.8202.0209.6209.1215.2227.4
94      Equity and investment fund shares298.3343.5345.5358.3408.8424.0433.7465.6
95         Money market fund shares136.6154.3157.3155.1163.3165.1172.4182.1
96         Corporate equities112.9129.4127.7137.7165.6174.4176.0190.7
97         Mutual fund shares48.859.860.465.579.984.485.392.8
98      Other accounts receivable375.0368.8376.0384.4404.8433.6458.9485.7
99         Trade receivables139.1152.2157.8163.2172.6183.8187.6197.9
100         Taxes receivable117.1117.8120.0121.3123.8137.2150.6160.4
101         Other (miscellaneous assets)118.898.998.3100.0108.3112.6120.6127.4
102Total liabilities and net worth10,927.911,386.511,879.912,200.012,626.312,937.613,116.413,634.9
103   Liabilities4,950.45,313.05,594.95,496.95,286.65,364.95,722.15,857.4
104      Debt securities (municipals)3,091.53,167.33,122.83,116.93,061.43,025.83,035.43,065.1
105         Short term64.063.152.456.245.338.933.030.2
106         Other3,027.63,104.33,070.43,060.63,016.12,986.93,002.43,034.9
107      Loans (short term)13.514.415.315.716.216.616.917.8
108      Insurance, pension and standardized
          guarantee schemes
1,214.81,462.31,749.41,618.91,425.31,499.51,806.41,869.8
           (claim of pension funds on sponsor)
109      Other accounts payable (trade payables)630.5669.0707.4745.5783.6823.0863.5904.7
110   Net worth5,977.56,073.56,285.06,703.17,339.77,572.77,394.37,777.5
       Footnotes


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