Integrated Macroeconomic Accounts for the United States Table

S.6.q Financial Business
  
Today is: 5/21/2013   Last Revised on March 12, 2013  
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Line      2007   
I
   2007   
II
   2007   
III
   2007   
IV
   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
                                              
                                                 Current account
1Gross value added1,155.91,151.91,133.21,033.61,162.61,143.21,007.1811.31,036.61,104.11,153.41,150.61,162.21,140.71,190.11,247.21,201.91,118.11,132.41,219.8
2Less: Consumption of fixed capital137.1139.4141.7144.2160.6171.0178.2181.2178.6176.7175.4175.7175.4175.4174.9174.4174.9176.5177.4179.1
3Equals: Net value added1,018.81,012.5991.5889.51,002.0972.1828.9630.1858.0927.4978.0974.9986.8965.31,015.21,072.81,027.0941.6955.01,040.7
4   Compensation of employees (paid)605.8607.6612.2615.5647.1611.7612.2570.8555.8563.0561.5565.4568.8588.9583.7588.9611.9614.2611.9614.4
5   Taxes on production and imports less subsidies54.053.953.352.551.851.351.050.655.657.859.961.760.661.161.361.061.761.361.361.7
6   Operating surplus, net359.1351.0326.1221.5303.2309.2165.78.7246.7306.7356.7347.7357.4315.3370.2422.9353.5266.2281.8364.6
7Net national income/Balance of primary incomes,
    net
206.2211.0208.5176.7130.2135.981.6-178.4125.9280.1422.4428.6403.3329.4360.6379.1311.3296.6307.3400.4
8   Operating surplus, net359.1351.0326.1221.5303.2309.2165.78.7246.7306.7356.7347.7357.4315.3370.2422.9353.5266.2281.8364.6
9   Property income received, net-152.9-140.0-117.6-44.8-173.0-173.3-84.1-187.1-120.7-26.665.880.845.914.1-9.6-43.8-42.230.425.535.9
10Net national income/Balance of primary incomes,
    net
206.2211.0208.5176.7130.2135.981.6-178.4125.9280.1422.4428.6403.3329.4360.6379.1311.3296.6307.3400.4
11Less: Current taxes on income, wealth, etc. (paid)162.9165.5152.1126.1107.291.357.270.947.378.7115.0125.3139.2129.0154.0179.6154.7131.2113.9129.2
12Less: Other current transfers (paid)2.02.47.46.544.444.943.549.633.530.622.625.924.623.224.018.428.713.116.815.3
13Equals: Disposable income, net41.243.049.044.1-21.5-0.3-19.2-298.945.1170.8284.8277.4239.5177.2182.7181.2127.9152.3176.6256.0
14Equals: Net saving41.243.049.044.1-21.5-0.3-19.2-298.945.1170.8284.8277.4239.5177.2182.7181.2127.9152.3176.6256.0
                                              
                                                 Capital account
15Net saving less capital transfers41.243.049.044.1-21.5-0.3-47.9-28.2268.0308.1333.4356.3302.5254.4197.5192.0140.4186.5204.3311.1
16   Net saving41.243.049.044.1-21.5-0.3-19.2-298.945.1170.8284.8277.4239.5177.2182.7181.2127.9152.3176.6256.0
17   Less: Capital transfers paid (net)0.00.00.00.00.00.028.7-270.7-222.9-137.3-48.6-78.9-63.0-77.2-14.9-10.8-12.5-34.3-27.7-55.2
18Capital formation, net48.645.346.447.347.631.316.7-6.7-13.0-11.8-12.8-11.0-23.8-22.9-18.7-15.5-10.7-7.70.02.0
19   Gross fixed capital formation (nonresidential)185.6184.7188.1191.5208.2202.4194.9174.5165.5164.9162.6164.7151.6152.5156.2158.9164.2168.8177.4181.1
20   Less: Consumption of fixed capital137.1139.4141.7144.2160.6171.0178.2181.2178.6176.7175.4175.7175.4175.4174.9174.4174.9176.5177.4179.1
21Net lending (+) or borrowing (-), capital
    account (lines 15-18)
-7.3-2.32.6-3.2-69.1-31.6-64.6-21.5281.1319.9346.2367.3326.3277.3216.3207.5151.1194.2204.4309.1
                                         Financial
                                           account
22Net lending (+) or borrowing (-) (line 21)-7.3-2.32.6-3.2-69.1-31.6-64.6-21.5281.1319.9346.2367.3326.3277.3216.3207.5151.1194.2204.4309.1
23Net acquisition of financial assets5,169.44,834.06,500.13,051.26,496.91,524.64,655.75,709.7-2,428.4-2,847.2-674.5-522.9-1,232.3-1,788.7529.4-675.33,964.01,724.1776.6514.7
24   Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
25   Currency and deposits16.13.7543.7116.9445.3189.61,014.42,427.8-97.9-314.9804.2542.2-14.6-586.4-49.8106.01,824.1840.7-221.7-355.9
26   Debt securities1,680.41,212.71,201.1476.52,006.1575.71,208.01,695.9731.61,640.1887.9425.61,013.3120.31,182.7607.01,863.9994.11,350.1911.2
27      SDR certificates0.00.00.00.00.00.00.00.00.00.012.00.00.00.00.00.00.00.00.00.0
28      Open market paper166.8312.3-520.8-286.4180.9-55.2-227.5308.8-497.2-509.9-234.2-255.9-278.3-196.462.1-183.5124.0-90.2-246.8-193.9
29      Treasury securities308.6-182.8270.555.4203.0-676.01,156.4946.0107.0996.8468.0188.0647.520.1265.1910.81,467.51,053.3704.6702.9
30      Agency- and GSE-backed securities (1)97.961.3353.7553.3747.01,063.4426.9938.51,026.1922.0189.5427.6351.9134.162.9-97.738.290.5346.4140.2
31      Municipal securities213.0181.8151.8192.0206.857.918.3-114.712.674.369.5-2.5-6.612.999.770.5-77.5-17.433.5109.7
32      Corporate and foreign bonds853.6848.4887.9-81.0616.6120.3-238.0-447.252.794.0319.1-21.7244.380.1623.0-161.9248.0244.979.778.5
33      Nonmarketable government securities40.6-8.357.943.151.665.371.964.530.563.064.090.254.669.569.968.863.8-287.0432.673.6
34   Loans1,731.12,207.52,913.02,533.31,920.2511.33,484.1632.6-2,779.0-3,884.2-2,618.1-1,926.2-1,682.2-892.9-805.3-505.1-178.6-287.2-617.4450.3
35      Short term575.2987.91,772.81,731.51,339.2414.53,617.7847.3-2,770.9-3,611.8-2,156.2-1,494.8-968.8-429.1-348.5-121.2188.170.6-333.2694.4
36      Long term (mortgages)1,156.01,219.71,140.2801.8581.196.9-133.6-214.7-8.2-272.5-461.9-431.5-713.4-463.8-456.8-383.9-366.6-357.9-284.2-244.1
37   Equity and investment fund shares1,011.8732.41,413.8991.2918.6663.3-404.51,599.1-338.8-275.143.2528.9-647.6-97.0221.8-77.618.196.1-241.8168.3
38      Corporate equities237.7122.7317.7232.535.1271.873.326.6-432.2123.3157.8513.6-106.7151.2-156.1134.5-171.4-74.9-6.4-52.0
39      Mutual fund shares149.6103.268.866.153.067.1-74.0-53.975.893.3138.898.896.9107.6-4.251.572.857.6-52.471.7
40      Money market mutual fund shares280.870.8603.2370.2610.8-59.9-46.7717.8-9.3-302.1-224.4-165.8-519.2-240.935.058.9-112.4-60.3-226.2129.5
41      Equity in government-sponsored enterprises
          (1)
-1.3-1.027.08.3-12.06.9-3.4-12.59.16.9-3.4-12.5-3.2-2.1-1.1-6.6-1.8-17.9-3.2-1.8
42      U.S. direct investment abroad105.7167.574.280.666.141.160.398.331.314.772.310.626.232.644.4-90.75.345.624.016.4
43      Stock in Federal Reserve Banks2.11.04.74.74.41.31.83.15.96.82.72.92.51.50.3-0.6-0.90.8-1.93.6
44      Investment in subsidiaries237.2268.2318.2228.8161.1335.0-415.7819.7-19.3-217.9-100.681.3-144.0-146.9303.7-224.5226.5145.324.51.0
45   Insurance, pension and standardized guarantee
       schemes
21.945.770.153.935.237.564.651.921.832.9-12.1-0.4-15.028.90.06.9-0.76.66.314.6
46   Other accounts receivable708.0631.9358.4-1,120.51,171.5-452.8-711.0-697.533.8-46.0220.4-93.0113.8-361.6-20.0-812.4437.373.8501.1-673.8
47Net incurrence of liabilities4,958.34,853.56,398.12,911.96,466.61,748.34,467.96,771.2-1,849.0-3,772.3-493.2-556.0-1,294.9-1,379.8748.3-350.04,245.61,847.2960.8552.5
48   Currency and deposits256.0315.31,261.2313.6443.595.53,330.74,966.8-876.1-522.81,424.7934.6183.7-316.9312.51,032.72,756.11,902.5768.6412.0
49   Debt securities1,533.11,409.91,773.11,304.0619.0987.4-262.8107.5-1,042.8-1,344.0-999.6-997.5-1,048.1-823.1-361.5-698.0-12.7-783.2-426.8-456.1
50      Agency- and GSE-backed securities (1)548.8649.71,227.11,197.2693.11,280.0665.1436.9111.0-188.8-115.4-47.1100.0-17.8-204.7-64.9254.7-326.9-2.5-12.8
51      Corporate bonds777.4500.01,104.2461.7152.0-71.6-564.8-638.0-570.2-642.6-436.6-701.9-934.4-638.0-277.1-484.8-350.2-376.2-372.6-219.8
52      Commercial paper206.9260.3-558.3-354.9-226.1-221.0-363.1308.7-583.6-512.6-447.6-248.6-213.6-167.2120.3-148.382.8-80.1-51.8-223.6
53   Loans917.9462.5672.9278.4882.6-756.0878.0-1,284.9-1,946.5-991.5-1,127.1-190.3-401.5-739.7-408.9-241.89.881.9-282.1121.5
54      Short term934.0449.7660.2269.1862.2-753.4872.1-1,288.3-1,952.1-1,001.0-1,125.7-190.2-402.3-741.6-411.9-236.82.763.4-286.3115.0
55      Long term (mortgages)-16.112.812.89.220.4-2.65.93.45.69.5-1.4-0.10.81.93.1-5.07.118.44.26.5
56   Equity and investment fund shares1,055.21,263.92,001.61,550.82,381.01,105.5132.33,250.3581.8130.4-173.8529.0-621.2-160.5966.2104.11,261.7542.7-304.7453.0
57      Money market mutual fund shares473.6475.51,209.3788.71,579.2-156.491.71,382.3119.4-516.8-948.5-648.8-1,109.3-579.2-129.7-194.8-92.5-62.0-321.424.6
58      Corporate equity issues83.346.6192.0396.3342.1418.3378.61,418.1546.8219.8140.0359.139.8346.5208.3170.395.9200.6285.176.4
59      Mutual fund shares494.0459.3275.0217.8171.5357.6-161.8-406.8-73.4698.1738.9624.7482.644.2598.1355.6923.6496.3-258.4192.2
60      Equity in government-sponsored enterprises
          (1)
0.00.427.48.6-10.07.2-2.8-11.36.87.2-2.8-11.3-3.1-1.90.4-6.4-1.6-17.7-2.9-1.6
61      Foreign direct investment in the United
          States
-8.658.772.8-85.8130.279.6126.6146.4-15.063.253.780.728.928.667.970.017.637.719.833.2
62      Equity in noncorporate business10.7-5.5-0.54.910.2-2.412.525.622.5-21.6-9.5-6.10.55.8-8.53.7-11.6-0.35.4-1.3
63      Investment by parent0.1227.8220.9215.5153.3400.2-314.3693.0-31.3-326.3-148.2127.8-63.1-6.1229.4-293.6331.3-112.5-30.4125.9
64      Stock in Federal Reserve Banks2.11.04.74.74.41.31.83.15.96.82.72.92.51.50.3-0.6-0.90.8-1.93.6
65   Insurance, pension and standardized guarantee
       schemes
375.8448.4349.3309.1507.0545.8174.1-74.347.1-134.8222.4375.0261.3347.9140.1183.5214.2-133.3674.8350.5
66   Other accounts payable820.4953.5339.9-844.01,633.5-229.9215.6-194.21,387.5-909.5160.2-1,206.8330.8312.499.9-730.416.5236.6531.1-328.4
  Addendum:
67Net lending (+) or borrowing (-), financial
    account (lines 23-47)
211.1-19.5102.0139.330.3-223.7187.8-1,061.5-579.4925.1-181.333.162.6-408.9-218.9-325.3-281.6-123.1-184.3-37.8
                       Other changes in volume
                         account
68Total other volume changes-58.5-62.750.9-24.235.4-116.084.2-349.9640.770.9-223.5-95.327.1-157.0-184.3-220.0-99.7-104.3-29.3-21.9
69   Disaster losses0.00.00.00.00.00.00.60.00.00.00.00.00.00.00.00.00.00.00.00.0
70   Other volume changes-90.0-35.45.2-85.131.2-39.48.3-127.0871.5-45.6-90.3-63.7105.251.8-57.4-154.420.016.999.7-20.4
71   Less: Statistical discrepancy ((lines
       21-[23-47])/4) (2)
-31.527.3-45.7-60.9-4.276.5-75.2222.9230.8-116.5133.331.778.2208.8126.965.6119.7121.2128.91.5
                                           
                                              Revaluation account
72   Nonfinancial assets18.111.812.015.47.58.022.926.4-5.2-27.3-21.30.0-8.10.63.08.69.514.111.18.6
73      Structures (nonresidential)13.47.010.814.610.78.618.721.2-6.4-25.4-18.53.7-3.3-0.10.83.97.411.39.46.9
74      Equipment and software4.74.91.20.7-3.2-0.64.25.21.2-1.8-2.8-3.7-4.80.72.24.72.12.91.81.7
75   Financial assets237.9872.8272.1-480.3-1,512.5-213.1-1,651.6-2,790.4-1,014.61,469.61,628.9582.5587.9-1,458.21,345.61,299.9738.4-83.8-2,323.91,089.2
76      Corporate equities195.3734.1219.6-456.8-1,282.8-183.8-1,381.1-2,369.6-881.61,238.71,370.0464.1484.9-1,240.01,119.21,079.1636.7-76.6-2,022.6933.1
77      Mutual fund shares42.6138.752.5-69.2-229.7-29.3-270.4-431.5-133.1231.0258.977.8103.0-218.3226.4162.2101.6-7.2-301.3164.1
78      U.S. direct investment abroad0.00.00.045.80.00.00.010.80.00.00.040.70.00.00.058.70.00.00.0-8.0
79   Liabilities177.8750.5-85.0-1,083.6-1,927.7-740.6-1,549.0-3,849.8-832.01,795.02,091.6430.5880.7-1,750.91,415.61,479.8948.9-152.8-2,938.61,355.5
80      Corporate equity issues-43.3-51.4-335.9-554.8-572.2-550.2-72.7-1,171.0-664.2477.2641.6-68.4346.8-450.2228.1388.0271.0-87.0-887.7327.8
81      Mutual fund shares114.6348.2132.0-198.7-560.2-68.9-735.6-1,060.0-332.8561.2611.6195.6177.8-561.3513.0452.6270.5-36.7-961.7387.5
82      Foreign direct investment in the United
          States
0.00.00.0-56.70.00.00.0-157.60.00.00.017.90.00.00.016.80.00.00.042.1
83      Equity in noncorporate business-0.51.70.2-2.0-3.70.0-4.9-5.1-0.34.32.30.02.0-1.71.1-0.24.1-0.2-3.00.2
84      Pension fund reserves110.8452.0118.7-271.4-791.6-121.5-735.8-1,456.1-510.9752.3836.1286.0355.0-737.2673.7654.7403.4-28.6-1,086.0597.9
85      Investment by parent-3.70.00.00.00.00.00.00.0676.20.00.0-0.6-0.9-0.6-0.3-32.20.0-0.1-0.10.0
86Changes in net worth due to nominal holding
    gains/losses
78.2134.1369.1618.6422.7535.5-79.71,085.8-187.8-352.6-484.0152.1-300.9293.3-67.0-171.3-201.183.1625.8-257.8
                    Changes in balance sheet account
87Change in net worth ((lines 18+21)/4 + lines
    68+86) (3)
21.1101.0437.3590.5445.6444.7-4.6707.8513.6-171.2-622.9117.3-203.0240.5-202.6-378.4-269.473.8645.3-244.2
                       Balance sheet account (end
                         of period)
88Total assets60,844.962,983.464,918.365,383.565,336.265,577.465,126.864,061.662,911.363,656.565,159.265,669.465,219.563,392.364,873.866,151.467,657.968,057.966,043.267,449.9
89   Nonfinancial assets (4)1,535.61,552.81,570.51,591.71,611.61,627.51,653.71,678.21,669.51,639.11,614.81,612.41,598.41,593.31,591.61,596.31,603.21,615.41,626.51,635.6
90      Structures (nonresidential)928.9937.4950.3967.2980.8991.91,012.21,034.31,028.51,003.4984.6987.7981.9979.2977.5978.9983.2991.7998.41,002.6
91      Equipment and software606.7615.4620.2624.5630.8635.6641.6643.9641.0635.8630.2624.7616.5614.1614.1617.3619.9623.8628.1632.9
92   Financial assets59,309.361,430.563,347.963,791.763,724.663,949.963,473.162,383.461,241.862,017.363,544.464,057.063,621.161,798.963,282.264,555.166,054.766,442.464,416.765,814.4
93      Monetary gold11.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.0
94      Currency and deposits836.1841.7971.51,012.91,119.01,206.91,447.92,068.02,050.61,979.42,168.82,316.02,307.12,167.22,140.72,225.52,679.02,897.32,821.42,747.5
95      Debt securities16,108.716,367.216,616.516,871.317,308.417,420.917,676.618,242.418,360.318,736.718,913.619,186.318,876.518,848.019,117.519,338.119,746.219,929.420,250.920,617.6
96         SDR certificates2.22.22.22.22.22.22.22.22.22.25.25.25.25.25.25.25.25.25.25.2
97         Open market paper1,322.71,420.31,233.71,194.81,235.71,243.71,140.21,246.21,116.11,001.0901.1871.9795.8729.6726.4722.8772.4717.9652.1621.1
98         Treasury securities1,780.41,696.11,774.91,837.11,855.31,657.11,955.92,244.42,233.62,459.12,585.62,684.42,807.72,793.22,866.93,145.23,473.13,722.43,903.04,127.3
99         Agency- and GSE-backed securities (1)4,262.24,267.84,352.34,503.94,691.14,949.05,049.65,297.95,560.35,791.05,830.35,993.75,617.05,646.35,653.95,643.75,649.45,671.05,748.55,797.5
100         Municipal securities1,532.01,570.21,604.51,661.71,713.51,721.61,722.01,703.81,705.51,718.91,731.21,742.21,737.81,737.11,756.31,786.41,763.51,755.91,758.11,798.5
101         Corporate and foreign bonds6,305.86,517.96,739.96,719.76,873.86,903.96,844.46,732.66,749.46,766.96,846.66,811.76,852.46,871.87,027.36,891.96,953.87,014.97,034.77,054.3
102         Nonmarketable government securities903.4892.8909.0952.0936.9943.5962.31,015.3993.2997.61,013.51,077.21,060.61,064.81,081.51,142.91,128.81,042.11,149.31,213.7
103      Loans20,346.920,900.321,700.722,362.322,744.022,871.823,820.423,999.123,253.022,279.221,763.321,224.620,755.620,534.820,402.420,246.220,122.120,054.919,959.620,088.0
104         Short term7,041.47,281.67,789.08,255.08,500.18,597.89,573.89,809.39,070.88,160.57,757.97,328.47,040.06,931.76,917.16,956.06,924.86,945.06,927.47,111.0
105         Long term (mortgages)13,305.513,618.713,911.714,107.414,243.914,274.014,246.614,189.814,182.214,118.614,005.413,896.313,715.613,603.013,485.313,290.213,197.313,109.813,032.212,977.0
106      Equity and investment fund shares18,270.819,334.319,944.819,696.918,436.618,399.416,630.814,223.513,822.615,235.016,857.517,555.718,003.216,533.017,916.419,180.719,944.519,897.617,495.418,610.7
107         Corporate equities12,321.313,094.113,378.712,964.911,711.911,606.610,228.67,849.26,880.38,161.79,554.910,131.010,609.19,419.710,483.311,579.912,193.212,111.110,070.110,974.3
108         Mutual fund shares2,461.22,625.62,695.32,642.62,426.22,413.62,124.71,679.71,565.61,819.92,113.52,216.02,343.22,151.82,377.22,552.22,672.02,679.22,364.82,546.7
109         Money market fund shares640.0657.7808.5901.01,053.71,038.81,027.11,206.51,204.21,128.71,072.61,031.2901.4841.1849.9864.6836.5821.4764.9797.3
110         Equity in government-sponsored
             enterprises (1)
41.741.448.250.347.249.048.145.047.249.048.145.044.243.743.441.741.336.836.035.5
111         U.S. direct investment abroad535.1576.6594.4660.2678.1688.0702.2737.4746.7750.0767.2810.3818.5826.2836.2872.1875.0886.0890.9886.9
112         Stock in Federal Reserve Banks15.816.117.318.519.519.920.321.122.624.224.925.626.326.626.726.526.326.526.026.9
113         Investment in subsidiaries2,255.82,322.82,402.42,459.62,499.82,583.62,479.62,684.63,355.93,301.43,276.33,296.63,260.63,223.93,299.83,243.73,300.33,336.63,342.83,343.0
114      Insurance, pension and standardized
          guarantee schemes
572.3605.9628.1627.1597.1602.0584.7522.5494.6548.7597.9618.2638.5620.2644.7672.5688.3689.0640.2673.3
115      Other accounts receivable3,163.43,370.13,475.23,210.23,508.43,437.93,301.83,316.93,249.53,227.33,232.33,145.13,029.13,084.73,049.52,881.12,863.62,963.23,238.23,066.3
116Total liabilities and net worth60,844.962,983.464,918.365,383.565,336.265,577.465,126.864,061.662,911.363,656.565,159.265,669.465,219.563,392.364,873.866,151.467,657.968,057.966,043.267,449.9
117   Liabilities61,906.063,943.565,441.265,315.964,823.064,619.564,173.662,400.660,736.661,653.063,778.664,171.563,924.661,856.963,541.065,197.066,972.967,299.064,639.166,290.1
118      Currency and deposits8,762.68,858.09,125.99,248.29,347.19,378.510,162.111,420.911,177.211,040.311,369.511,654.511,668.711,583.311,639.611,954.112,609.213,067.813,224.813,396.2
119      Debt securities13,775.014,138.314,569.014,907.915,050.615,306.415,228.315,270.415,375.415,046.014,791.114,499.813,712.413,510.313,418.513,484.413,462.813,269.413,164.313,064.7
120         Agency- and GSE-backed securities (1)6,600.96,762.77,076.67,374.67,540.47,862.38,035.88,143.48,160.38,118.88,098.18,083.37,633.47,637.67,594.17,574.07,624.37,553.37,560.07,552.1
121         Corporate bonds5,771.45,892.36,192.36,281.36,325.96,305.36,184.56,000.76,242.26,083.25,992.45,738.35,458.95,304.75,249.65,334.45,245.95,158.55,077.05,004.7
122         Commercial paper1,402.71,483.31,300.11,252.11,184.31,138.81,008.11,126.3973.0844.0700.7678.2620.2567.9574.8576.0592.6557.6527.3507.9
123      Loans4,336.14,464.24,671.84,685.04,910.14,732.14,991.44,614.94,202.13,965.83,778.73,682.73,560.03,390.43,315.13,223.03,226.53,273.63,228.63,205.8
124         Short term4,188.14,312.94,517.44,528.34,748.34,570.94,828.84,451.44,037.23,798.63,611.83,515.83,392.93,222.93,146.83,055.93,057.73,100.13,054.13,029.6
125         Long term (mortgages)148.0151.2154.4156.7161.8161.2162.7163.5164.9167.3166.9166.9167.1167.6168.3167.1168.9173.5174.5176.2
126      Equity and investment fund shares17,848.318,451.618,740.418,354.717,792.317,440.616,652.715,110.014,911.815,978.317,180.717,498.417,845.316,781.417,755.518,649.519,485.419,485.117,548.918,464.1
127         Money market fund shares2,372.52,466.62,779.53,033.03,382.53,318.33,355.33,757.33,739.03,584.63,363.03,258.62,930.52,760.42,746.12,755.42,679.42,637.82,577.92,642.5
128         Corporate equity issues5,385.55,345.85,057.94,602.24,115.53,669.93,691.92,875.42,347.92,880.03,556.63,578.13,934.83,571.33,851.54,282.14,577.04,540.13,723.74,070.5
129         Mutual fund shares7,325.67,802.27,984.57,822.67,329.17,365.66,567.75,388.05,062.55,814.76,585.86,920.77,246.46,711.57,346.57,873.08,402.18,503.77,449.57,870.9
130         Equity in government-sponsored
             enterprises (1)
46.947.053.856.053.555.354.651.853.555.354.651.851.050.550.649.048.644.243.543.1
131         Foreign direct investment in the United
             States
425.6440.3458.5380.4412.9432.8464.5343.5339.7355.5368.9407.0414.2421.4438.3472.6477.0486.5491.4541.9
132         Equity in noncorporate business12.012.312.411.610.510.08.19.514.813.713.612.114.214.013.013.815.014.713.112.9
133         Investment by parent2,264.42,321.42,376.62,430.52,468.82,568.82,490.32,663.53,331.83,250.33,213.23,244.53,227.93,225.73,282.83,177.23,260.03,231.73,223.93,255.4
134         Stock in Federal Reserve Banks15.816.117.318.519.519.920.321.122.624.224.925.626.326.626.726.526.326.526.026.9
135      Insurance, pension and standardized
          guarantee schemes
15,431.616,018.716,232.416,047.215,292.215,288.814,544.512,989.712,413.713,186.814,153.714,601.615,022.914,316.715,063.015,849.016,295.816,210.915,215.215,985.9
136      Other accounts payable1,752.32,012.82,101.72,072.72,430.72,473.12,594.52,994.62,656.32,435.72,505.02,234.52,115.22,274.72,349.32,037.01,893.11,992.22,257.32,173.4
137   Net worth-1,061.2-960.2-522.967.6513.2957.9953.31,661.12,174.72,003.51,380.61,497.91,294.91,535.41,332.8954.4685.0758.81,404.11,159.9
       Footnotes


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