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: 12/22/2014   Last Revised on December 16, 2014  
 Data Table Options
 Data Table Options
 
First Year Last Year Series: Annual(A)  Quarterly(Q) Monthly(M)
Get all years    
HTML    Locking Stubs   (Enables graph and chart generation)  What is that?
 Tools Options
Tools Options
Printing instructions
Help is available for downloading csv files.
Download Dates Shown(CSV)
Download All Years(CSV)
Advanced Download

Line      2008   
I
   2008   
II
   2008   
III
   2008   
IV
   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
                                              
                                                 Current account
1Gross value added1,814.61,842.61,867.11,896.61,895.51,909.61,917.61,931.81,918.31,926.31,932.71,937.91,953.91,970.61,983.31,989.72,007.52,013.72,027.92,046.5
2Less: Consumption of fixed capital417.3416.7414.0410.2406.7403.0400.5402.9402.3399.5399.3400.9399.0398.0397.6398.4399.3402.0406.2410.7
3Equals: Net value added1,397.31,425.91,453.11,486.41,488.81,506.61,517.11,528.91,516.01,526.81,533.41,537.01,554.91,572.61,585.71,591.31,608.21,611.81,621.71,635.8
4   Compensation paid by households and NPISHs642.3650.9661.1678.5673.2686.0687.8699.5684.1693.8702.9704.9712.0722.0730.7731.1745.4747.3752.6762.8
5   Taxes on production and imports less subsidies140.6142.3144.5145.4149.3152.3153.7154.3153.1152.6152.5152.9153.9154.9155.2155.9156.5156.9157.1155.9
6   Operating surplus, net614.4632.7647.5662.5666.3668.2675.7675.0678.8680.3678.0679.1689.0695.7699.8704.4706.3707.6712.0717.1
7Net national income/Balance of primary incomes,
    net
11,253.111,271.011,293.411,173.210,715.710,634.310,578.910,644.610,653.210,841.610,952.511,110.811,379.411,502.511,669.311,713.012,029.412,141.412,188.612,664.3
8   Operating surplus, net614.4632.7647.5662.5666.3668.2675.7675.0678.8680.3678.0679.1689.0695.7699.8704.4706.3707.6712.0717.1
9   Compensation of employees (received)8,077.98,077.38,094.98,062.87,762.47,790.57,774.07,821.07,801.77,947.18,019.18,077.98,209.78,248.98,332.08,285.48,523.08,543.88,576.68,782.5
10      Wages and salaries6,539.06,531.66,543.96,512.96,230.66,256.36,238.96,279.86,239.66,365.56,426.46,478.66,583.66,615.56,689.66,643.96,861.06,877.26,902.77,087.4
11      Employers' social contributions1,538.91,545.71,551.01,549.91,531.81,534.21,535.01,541.31,562.11,581.61,592.81,599.31,626.11,633.41,642.41,641.61,662.11,666.61,673.91,695.1
12   Property income received, net2,560.72,561.02,550.92,447.92,287.02,175.52,129.32,148.52,172.82,214.22,255.32,353.82,480.62,557.92,637.42,723.22,800.12,889.92,900.03,164.6
13Net national income/Balance of primary incomes,
    net
11,253.111,271.011,293.411,173.210,715.710,634.310,578.910,644.610,653.210,841.610,952.511,110.811,379.411,502.511,669.311,713.012,029.412,141.412,188.612,664.3
14Less: Current taxes on income, wealth, etc. (paid)1,529.41,337.01,442.41,432.01,195.51,125.21,126.41,132.61,145.61,167.91,209.41,242.91,372.91,390.61,418.11,420.91,464.71,479.51,505.11,565.4
15Plus: Social benefits (received)1,762.41,903.71,842.81,880.41,994.62,132.02,132.02,147.42,212.72,219.02,245.12,259.02,262.12,258.22,250.12,260.32,282.12,305.52,312.62,330.3
16Less: Social contributions (paid)986.5987.2990.7988.6961.3966.3963.4966.6972.0984.0988.4992.0913.6916.3924.1917.2944.1944.8946.9968.9
17Plus: Other current transfers (received)35.336.337.137.837.938.338.939.740.641.943.346.149.451.151.149.445.843.341.941.4
18Less: Other current transfers (paid)151.7153.6155.4148.5151.4154.1155.7159.7165.1160.6159.6157.3153.8152.5153.5160.5167.8172.3171.0178.6
19Equals: Disposable income, net10,383.210,733.310,584.810,522.310,440.010,558.910,504.310,572.710,623.910,790.010,883.411,023.711,250.611,352.411,474.811,524.011,780.611,893.511,920.012,323.0
20Less: Final consumption expenditures9,974.410,095.810,124.99,859.69,770.29,769.89,890.89,957.110,044.510,137.710,233.410,393.210,523.510,651.410,754.510,827.910,959.711,030.611,119.811,222.6
21Equals: Net saving408.8637.5459.9662.7669.8789.2613.5615.6579.4652.3650.0630.5727.0701.0720.3696.2821.0863.0800.31,100.5
                                              
                                                 Capital account
22Net saving less capital transfers394.6620.0483.1640.5654.0775.4704.0668.2635.3662.7646.7649.8723.8699.6721.3691.8814.4854.9789.71,145.8
23   Net saving408.8637.5459.9662.7669.8789.2613.5615.6579.4652.3650.0630.5727.0701.0720.3696.2821.0863.0800.31,100.5
24   Less: Capital transfers paid (net)14.217.5-23.222.215.813.8-90.6-52.6-56.0-10.43.4-19.33.21.5-0.94.36.58.110.5-45.3
25Capital formation, net194.4173.1149.0103.067.943.756.552.743.260.331.638.633.341.050.059.078.682.292.0110.1
26   Gross fixed capital formation, excluding
       consumer durables
622.8600.8573.9524.2484.9456.5466.5464.8454.3468.4439.1447.6440.5446.9455.3464.9485.5491.8505.8528.5
27      Residential467.1444.2417.9372.0332.5308.0320.6323.0320.3334.6305.3312.8312.0317.0323.3332.3350.2356.0371.8394.1
28      Nonresidential (nonprofit organizations)155.6156.6156.1152.3152.3148.5145.8141.7134.0133.8133.8134.8128.5129.9132.0132.6135.2135.7134.0134.4
29   Less: Consumption of fixed capital417.3416.7414.0410.2406.7403.0400.5402.9402.3399.5399.3400.9399.0398.0397.6398.4399.3402.0406.2410.7
30   Acquisition of nonproduced nonfinancial assets-11.1-11.0-10.9-11.0-10.3-9.8-9.5-9.2-8.9-8.6-8.3-8.2-8.2-7.9-7.7-7.5-7.6-7.6-7.6-7.7
31Net lending (+) or borrowing (-), capital
    account (lines 22-25)
200.2446.9334.2537.5586.1731.7647.5615.5592.2602.4615.1611.3690.5658.6671.2632.8735.9772.7697.81,035.7
                                         Financial
                                           account
32Net lending (+) or borrowing (-) (line 31)200.2446.9334.2537.5586.1731.7647.5615.5592.2602.4615.1611.3690.5658.6671.2632.8735.9772.7697.81,035.7
33Net acquisition of financial assets1,483.01,029.71,799.850.2807.2461.9450.5981.3559.01,031.5490.01,082.41,002.41,497.9647.91,090.2572.92,013.3861.81,331.1
34   Currency and deposits723.4-44.8567.9433.7165.9281.7-65.3416.560.2154.2361.3249.4478.81,107.2548.6625.5567.5698.6162.1939.5
35      Currency and transferable deposits109.258.6-3.1542.767.3295.356.4-15.1-129.776.770.7137.8204.0347.0574.9188.0133.9254.838.2303.4
36      Foreign deposits-14.6-22.2-31.9-2.5-17.50.31.7-13.2-17.011.510.113.69.3-17.2-3.7-28.1-5.8-19.95.5-10.6
37      Time and savings deposits628.8-81.1603.0-106.5116.1-13.9-123.4444.8206.966.1280.498.0265.4777.4-22.6465.6439.4463.6118.4646.7
38      Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
39   Debt securities-542.7787.31,149.9915.4390.7-803.6341.5406.5-6.3376.0-991.4345.7-906.6-593.720.8596.3-738.0525.8-545.6-194.1
40      Open market paper-50.9-128.7-166.4-59.3-1.638.033.4-3.0-4.1-4.21.80.65.9-4.0-6.2-2.82.0-2.6-0.4-1.4
41      Treasury securities-50.0454.848.1131.6830.2131.5698.3472.6311.51,124.0-13.7-140.4-1,051.7-415.1145.5402.4-52.4559.8145.9190.4
42      Agency- and GSE-backed securities (1)-77.7140.7782.5114.0-852.5-1,242.2-148.4-440.5100.9-209.7-203.4272.5409.8-186.0-257.2-10.3-311.9-15.0-224.05.3
43      Municipal securities-70.573.754.2131.6106.691.676.3153.8126.2-17.7-41.1107.0-20.1-108.0-35.2-99.0-141.0-12.7-205.2-216.2
44      Corporate and foreign bonds-293.7246.8431.5597.5307.9177.5-318.1223.6-540.8-516.4-735.0105.9-250.4119.3173.9305.9-234.7-3.7-262.0-172.2
45   Loans522.9-53.225.4-1,132.0-296.228.898.0-21.1-5.3-7.919.9-0.319.3182.736.0-258.621.146.36.9-7.2
46      Short term530.6-82.334.8-1,124.5-296.829.099.9-19.11.45.531.811.218.5184.531.3-257.834.761.920.25.8
47      Long term (mortgages)-7.729.0-9.4-7.50.6-0.3-1.9-2.0-6.7-13.4-11.9-11.50.8-1.74.7-0.9-13.6-15.6-13.3-13.0
48   Equity and investment fund shares108.5-374.4-612.1-776.583.1562.0-369.1-344.5-41.7-96.1425.0-107.8837.2171.6-676.3-517.4315.2455.6709.5-43.7
49      Corporate equities-315.9-217.4-304.9-446.6294.0250.1-249.7-370.6-325.4-85.8-111.8-360.6-55.9-302.2-423.5-453.4-255.6-85.2-62.5-562.5
50      Mutual fund shares138.8299.8-150.7-371.5-193.3597.5558.3540.0350.1-65.6512.8326.8813.7465.8-125.7183.7561.6517.6809.3539.6
51      Money market fund shares630.1-146.0150.0304.199.3-172.6-565.8-430.2-235.2-117.9-137.1-241.9109.572.4-45.3-197.5-7.910.3-21.1-0.4
52      Equity in noncorporate business-344.5-310.8-306.5-262.5-116.8-113.1-111.9-88.5162.2168.1158.7166.3-30.4-65.7-82.9-50.317.012.9-16.2-20.5
53      Equity investment under Public-Private
          Inv. Program (2)
0.00.00.00.00.00.00.04.86.75.12.51.50.31.31.10.10.10.00.00.0
54   Insurance, pension and standardized guarantee
       schemes
670.8714.9668.7609.8463.7393.1445.4523.8552.1605.3675.3595.4573.7630.1718.9644.4407.0287.0528.9636.6
55      Insurance receivables due from
          property-casualty insurance companies
11.618.928.2-14.78.510.713.12.6-40.0-25.9-28.9-46.219.144.733.249.9-32.6-19.0-20.00.7
56      Life insurance reserves31.960.255.891.763.44.40.929.7-5.03.435.7-9.149.259.6104.081.2-47.6-81.8-0.423.6
57      Pension entitlements (3)586.4624.9543.1449.9399.5367.4404.1421.6593.3600.9623.9567.6494.2540.5518.9439.5492.1391.5537.0569.8
58      Non-life insurance reserves at life
          insurance companies
42.74.515.67.69.05.922.8-4.08.222.328.99.111.610.726.99.8-0.2-15.119.0-10.8
59      Retiree Health Care Funds-1.76.426.075.3-16.84.74.573.9-4.34.615.774.0-0.3-25.435.963.9-4.611.4-6.753.3
60Net incurrence of liabilities774.2-153.2501.3-1,080.9-68.6133.8121.0116.4-368.52.1-139.982.1133.0-189.8-280.971.9272.5271.7172.5374.3
61   Debt securities (municipals)11.239.9-11.7-2.21.915.06.80.14.6-9.2-10.86.5-1.7-4.3-19.5-5.5-6.5-17.5-15.4-18.5
62   Loans735.6-216.9491.7-1,107.6-110.084.174.384.4-353.837.1-87.996.3131.8-188.7-257.676.6267.6277.8182.2403.0
63      Short term365.1-330.8509.7-1,003.9-255.211.075.322.454.0109.885.5160.4218.0-109.7-181.3138.0361.5339.3232.3453.4
64         Consumer credit163.467.6-17.7-73.7-74.1-153.1-81.3-106.0-73.3-64.73.633.0112.890.1106.3124.8152.4201.7148.9175.7
65         Depository institution loans n.e.c.38.5-109.980.09.9-60.3108.856.18.7151.590.410.7-51.9-45.9-190.4-47.664.494.9231.3-17.9135.0
66         Other loans and advances4.06.93.99.91.41.7-3.92.92.21.74.51.30.92.13.71.1-1.2-0.62.64.2
67         Security credit159.2-295.4443.4-949.9-122.353.6104.4116.9-26.482.566.7178.0150.2-11.5-243.7-52.3115.4-93.198.7138.4
68      Long term (mortgages)370.4113.9-18.0-103.8145.373.1-1.161.9-407.8-72.7-173.5-64.1-86.2-79.0-76.3-61.5-93.9-61.4-50.1-50.4
69   Insurance, pension and standardized guarantee
       schemes
5.21.6-0.86.7-2.0-6.7-1.5-9.510.13.6-11.88.71.71.9-5.0-0.47.57.41.7-14.3
70   Other accounts payable (trade debt)22.222.222.222.241.441.441.441.4-29.4-29.4-29.4-29.41.21.21.21.24.04.04.04.0
  Addendum:
71Net lending (+) or borrowing (-), financial
    account (lines 33-60)
708.81,183.01,298.51,131.2875.8328.1329.5864.9927.51,029.4630.01,000.3869.41,687.7928.81,018.3300.31,741.6689.3956.8
                       Other changes in volume
                         account
72Total other volume changes239.0223.2393.6-40.8792.3-186.4-118.895.1309.870.296.5721.7221.0135.4-66.8167.4129.198.1229.178.9
73   Net investment in consumer durable goods48.843.132.610.19.98.417.614.315.020.322.628.930.728.127.832.339.037.339.342.8
74   Disaster losses0.00.0-8.30.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-20.9
75   Other volume changes-49.898.4124.3-184.9592.712.4-62.534.999.648.664.5607.040.8-43.1-156.033.597.7-52.5186.854.2
76   Less: Statistical discrepancy ((lines
       31-71)/4) (4)
-240.0-81.7-245.0-134.0-189.7207.273.9-45.8-195.2-1.2-9.4-85.8-149.4-150.4-61.4-101.67.6-113.3-3.0-2.8
                                           
                                              Revaluation account
77   Nonfinancial assets-902.4-1,025.2-680.8-1,068.1-872.0-327.0-128.0132.7-8.4-17.6-344.9-111.2-140.0-84.44.689.4253.2381.8410.2431.6
78      Real estate-901.9-1,004.1-684.8-1,051.2-849.3-320.1-95.2117.611.48.3-317.8-93.0-144.7-114.74.0102.7251.9391.5427.8444.5
79      Consumer durable goods1.7-18.93.4-18.2-22.4-5.3-30.317.2-15.8-25.7-26.9-19.94.029.0-0.5-14.9-0.3-9.4-18.7-13.1
80      Equipment-2.5-2.20.82.60.6-0.8-1.7-2.8-3.5-0.40.60.9-0.10.70.61.30.1-0.90.20.5
81      Intellectual property products0.30.0-0.2-1.3-1.0-0.9-0.80.7-0.50.1-0.80.70.90.60.60.21.50.70.9-0.3
82   Financial assets-1,786.1-847.9-1,997.6-3,295.2-1,635.41,242.91,585.6466.6565.4-1,132.41,746.11,671.41,260.170.6-2,641.91,488.71,579.5-504.21,362.5484.9
83      Corporate equities-767.7-379.9-1,049.1-1,633.9-812.3986.71,126.7213.2333.4-663.11,028.5946.6765.187.3-1,628.9832.4756.1-298.4704.8226.9
84      Mutual fund shares-264.2-19.0-464.5-563.6-122.8274.6286.227.340.3-245.6240.9219.3160.1-0.5-644.4216.2267.5-169.0138.289.9
85      Equity in noncorporate business-305.3-360.2-98.6-380.3-403.4-448.1-306.119.91.5219.195.4138.5152.738.6118.7215.165.8138.4281.1181.9
86      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.00.00.0-0.3-0.5-0.3-0.1-0.10.0-0.1-0.10.00.00.00.00.0
87      Insurance, pension and standardized
          guarantee schemes
-448.9-88.8-385.4-717.4-296.9429.7478.7206.5190.7-442.5381.4367.1182.2-54.7-487.3225.1490.2-175.1238.5-13.9
88Changes in net worth due to nominal holding
    gains/losses
-2,688.6-1,873.0-2,678.4-4,363.3-2,507.4915.81,457.6599.2557.0-1,150.01,401.21,560.11,120.1-13.7-2,637.31,578.11,832.8-122.41,772.7916.5
                    Changes in balance sheet account
89Change in net worth ((lines 25+31)/4 + lines
    72+88) (5)
-2,351.0-1,494.9-2,164.0-4,244.0-1,551.6923.31,514.8861.41,025.6-914.21,659.32,444.31,522.1296.6-2,523.91,918.42,165.5189.42,199.21,281.9
                       Balance sheet account (end
                         of period)
90Total assets78,930.977,360.775,325.370,779.469,053.769,951.171,466.472,310.573,195.972,227.273,840.576,244.677,714.677,926.475,324.877,250.179,400.779,614.781,787.583,156.7
91   Nonfinancial assets27,369.926,430.125,810.524,780.923,936.123,629.723,533.223,693.023,712.523,720.523,409.823,338.923,235.423,189.523,236.023,371.123,682.024,121.324,593.525,073.7
92      Real estate22,505.421,537.020,874.519,846.619,010.618,698.118,611.618,736.518,757.118,766.718,456.318,370.418,227.418,119.218,133.218,245.518,512.618,921.019,368.719,816.1
93      Consumer durable goods4,526.64,550.84,586.84,578.64,566.14,569.24,556.64,588.14,587.34,581.94,577.64,586.74,621.44,678.64,705.84,723.34,762.14,789.94,810.44,840.1
94      Equipment248.9252.1257.7264.0267.5269.7271.3271.9270.6272.7276.2280.1282.5285.6288.9293.0295.1295.9297.6299.7
95      Intellectual property products89.190.391.591.691.992.793.796.497.699.199.7101.8104.1106.1108.0109.4112.3114.4116.7117.7
96   Financial assets51,561.050,930.649,514.845,998.645,117.646,321.547,933.248,617.549,483.448,506.850,430.752,905.754,479.254,736.952,088.853,879.055,718.655,493.557,194.158,083.0
97      Currency and deposits6,412.06,307.16,428.16,599.76,637.26,647.56,615.66,784.96,802.96,780.66,863.96,941.87,057.27,273.77,412.97,631.77,724.67,827.97,869.98,165.1
98         Currency and transferable deposits168.5132.5106.3295.2291.9348.1343.6396.1336.9335.3341.6423.7443.1506.3644.3752.2739.8775.2783.5921.1
99         Foreign deposits84.178.570.569.965.565.666.062.758.561.363.967.369.665.364.457.455.950.952.349.7
100         Time and savings deposits6,159.56,096.16,251.36,234.66,279.86,233.86,206.06,326.06,407.56,383.96,458.46,450.86,544.56,702.16,704.26,822.26,928.97,001.87,034.17,194.2
101         Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
102      Debt securities3,669.63,933.74,362.04,230.64,927.94,654.54,660.74,611.04,679.04,626.64,303.24,717.04,585.54,325.14,136.54,184.54,104.14,113.64,083.34,004.8
103         Open market paper94.662.420.86.05.615.123.422.721.620.621.021.122.621.620.119.419.919.219.118.8
104         Treasury securities202.6335.6337.8184.1511.5577.5740.1854.1997.01,144.81,103.01,126.5968.6781.6639.0706.6819.2851.0870.7928.1
105         Agency- and GSE-backed securities (1)820.2889.51,109.41,056.6850.3556.4526.5357.4389.0324.9279.6335.5448.4397.7324.0300.7222.6217.4167.3153.5
106         Municipal securities1,657.21,686.41,683.31,720.81,751.21,780.11,786.01,827.91,865.61,864.11,842.81,871.51,874.51,848.71,831.51,805.91,779.91,778.51,719.01,662.1
107         Corporate and foreign bonds894.9959.91,210.81,263.21,809.41,725.41,584.71,549.01,405.81,272.31,056.81,362.31,271.51,275.51,321.91,352.01,262.61,247.51,307.11,242.3
108      Loans1,263.61,250.31,256.6973.6899.6906.7931.2928.3927.0925.0930.0929.9934.7980.4989.4924.7919.0930.5932.3930.5
109         Short term1,154.81,134.21,142.9861.8787.6794.8819.8817.4817.7819.1827.0829.8834.5880.6888.4824.0821.6837.0842.1843.6
110         Long term (mortgages)108.8116.1113.7111.8112.0111.9111.4110.9109.3105.9102.9100.1100.399.8101.0100.897.493.590.286.9
111      Equity and investment fund shares23,435.822,563.620,804.418,089.916,732.217,667.018,692.818,926.019,252.018,516.619,998.921,339.722,592.922,735.720,425.321,616.922,864.322,619.623,937.424,467.4
112         Corporate equities9,043.98,599.27,489.45,760.85,000.36,037.67,118.27,256.07,486.96,789.57,806.28,680.59,409.79,408.97,690.58,475.19,144.68,812.99,518.59,623.1
113         Mutual fund shares4,388.14,461.63,937.33,259.43,118.83,561.23,962.34,100.54,265.04,020.34,362.74,636.35,043.95,174.14,471.04,658.25,226.55,198.35,510.65,701.8
114         Money market fund shares1,456.91,392.81,445.11,580.51,554.11,483.11,358.21,313.11,199.01,141.31,126.91,130.11,098.91,088.11,099.51,114.91,052.21,024.11,045.31,110.1
115         Equity in noncorporate business8,546.98,110.17,932.67,489.27,058.96,585.16,254.16,255.56,299.06,562.46,699.56,889.07,036.57,060.57,160.07,364.37,436.77,579.97,858.68,028.1
116         Equity investment under Public-Private
             Inv. Program (2)
0.00.00.00.00.00.00.00.92.13.13.63.83.94.14.44.44.44.44.44.4
117      Insurance, pension and standardized
          guarantee schemes
16,780.016,875.916,663.716,104.715,920.816,445.817,032.917,367.417,822.617,657.918,334.718,977.319,308.919,422.019,124.719,521.220,106.620,001.920,371.220,515.2
118         Insurance receivables due from
             property-casualty insurance companies
329.2333.9340.9337.3339.4342.1345.4346.0336.0329.5322.3310.8315.6326.7335.0347.5339.4334.6329.6329.8
119         Life insurance reserves1,061.71,071.31,065.51,049.81,051.51,072.71,095.51,109.21,115.41,098.51,122.81,137.21,156.11,170.01,170.21,199.01,199.51,172.61,180.61,186.1
120         Pension entitlements (3)14,993.915,072.814,848.914,288.614,102.814,601.215,155.515,458.115,916.215,768.216,416.717,035.717,340.817,432.517,111.017,447.718,042.017,969.818,333.218,460.8
121         Non-life insurance reserves at life
             insurance companies
258.3259.4263.3265.2267.4268.9274.6273.6275.7281.2288.5290.7293.6296.3303.0305.5305.5301.7306.4303.7
122         Retiree Health Care Funds136.9138.5145.0163.8159.6160.8161.9180.4179.3180.5184.4202.9202.8196.5205.4221.4220.3223.1221.5234.8
123Total liabilities and net worth78,930.977,360.775,325.370,779.469,053.769,951.171,466.472,310.573,195.972,227.273,840.576,244.677,714.677,926.475,324.877,250.179,400.779,614.781,787.583,156.7
124   Liabilities14,528.414,453.114,581.714,279.914,105.714,079.914,080.514,063.213,922.913,868.413,822.413,782.213,730.113,645.413,567.613,574.513,559.613,584.313,557.813,645.1
125      Debt securities (municipals)253.0263.0260.0259.5259.9263.7265.4265.4266.6264.3261.6263.2262.8261.7256.8255.5253.8249.5245.6241.0
126      Loans14,030.113,938.914,065.113,756.613,572.213,533.913,522.813,497.513,360.913,315.213,282.113,245.513,193.113,108.713,036.713,044.713,028.613,054.813,030.813,125.2
127         Short term3,132.43,043.93,204.02,975.12,791.72,793.92,845.02,873.62,879.72,902.72,953.83,122.83,126.93,102.83,083.43,144.43,186.13,268.83,290.03,429.3
128            Consumer credit2,608.42,626.92,650.42,650.62,584.72,554.32,560.42,552.82,491.72,477.72,503.42,647.42,629.82,654.72,704.82,755.92,748.92,799.42,859.52,923.6
129            Depository institution loans n.e.c.30.7-4.220.526.4-60.9-42.1-22.1-15.957.473.381.061.045.0-1.6-11.011.531.787.323.162.6
130            Other loans and advances128.0129.7130.7133.2133.5134.0133.0133.7134.3134.7135.8136.1136.4136.9137.8138.1137.8137.6138.3139.3
131            Security credit365.3291.5402.3164.8134.3147.7173.8203.0196.4217.0233.7278.2315.7312.9251.9238.9267.7244.5269.1303.7
132         Long term (mortgages)10,897.710,895.010,861.210,781.510,780.510,740.110,677.710,623.910,481.310,412.510,328.310,122.710,066.210,005.89,953.29,900.39,842.59,786.09,740.89,695.9
133      Insurance, pension and standardized
          guarantee schemes
25.225.525.327.026.524.824.522.124.625.522.624.725.225.624.424.326.228.028.424.9
134      Other accounts payable (trade debt)220.1225.6231.2236.7247.1257.5267.8278.2270.8263.5256.1248.8249.1249.4249.7250.0251.0252.0253.0254.0
135   Net worth64,402.562,907.660,743.656,499.654,948.055,871.257,386.058,247.359,273.058,358.860,018.162,462.463,984.564,281.061,757.263,675.665,841.166,030.568,229.769,511.6
       Footnotes


Page creation time = 1.404297 Seconds on SERVER B - page last updated 2-19-14