Integrated Macroeconomic Accounts for the United States Table

S.6.q Financial Business
[Billions of dollars]   Seasonally adjusted at annual rates
Today is: 7/29/2014   Last Revised on June 16, 2014  
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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 added999.3944.1802.8663.1891.01,030.11,080.61,061.31,011.11,005.11,049.21,094.41,045.3997.6994.01,063.41,039.01,055.71,116.91,149.6
2Less: Consumption of fixed capital170.5173.0175.4176.6176.7177.2176.9178.8178.0176.6176.1176.0176.6178.3179.8181.4183.7186.0187.6189.2
3Equals: Net value added828.8771.0627.3486.5714.2853.0903.7882.6833.1828.4873.2918.4868.8819.3814.1882.0855.3869.7929.3960.4
4   Compensation of employees (paid)636.8610.7611.1593.1520.5559.3555.9560.3547.5578.8575.2588.3615.0603.6621.6600.2600.0632.2631.1671.0
5   Taxes on production and imports less subsidies55.055.055.856.760.863.365.467.165.065.465.063.761.861.360.260.661.860.861.561.9
6   Operating surplus, net137.0105.3-39.6-163.2132.9230.4282.3255.1220.6184.2232.9266.4192.0154.4132.3221.2193.5176.6236.7227.4
7Net national income/Balance of primary incomes,
    net
46.976.748.7-179.1119.5245.1384.4414.0399.9338.0375.5389.9304.0305.3304.6385.7346.2336.6360.1246.5
8   Operating surplus, net137.0105.3-39.6-163.2132.9230.4282.3255.1220.6184.2232.9266.4192.0154.4132.3221.2193.5176.6236.7227.4
9   Property income received, net-90.1-28.688.3-15.9-13.514.8102.1158.9179.3153.7142.6123.5112.1150.9172.3164.5152.6159.9123.419.1
10Net national income/Balance of primary incomes,
    net
46.976.748.7-179.1119.5245.1384.4414.0399.9338.0375.5389.9304.0305.3304.6385.7346.2336.6360.1246.5
11Less: Current taxes on income, wealth, etc. (paid)107.291.357.270.947.378.7115.0125.4136.0131.5158.1174.4176.9158.4121.2151.3184.6171.9190.0164.8
12Less: Other current transfers (paid)40.344.445.653.937.730.719.419.721.218.319.314.931.818.118.511.0-9.9-13.4-13.8-10.9
13Equals: Disposable income, net-100.6-58.9-54.0-303.934.4135.8250.0268.9242.8188.2198.1200.695.3128.8164.9223.4171.5178.1183.992.6
14Equals: Net saving-100.6-58.9-54.0-303.934.4135.8250.0268.9242.8188.2198.1200.695.3128.8164.9223.4171.5178.1183.992.6
                                              
                                                 Capital account
15Net saving less capital transfers-100.6-58.9-82.8-33.2257.4273.1298.6347.8305.8265.5212.9211.4107.8163.1192.5278.5190.3178.2183.935.3
16   Net saving-100.6-58.9-54.0-303.934.4135.8250.0268.9242.8188.2198.1200.695.3128.8164.9223.4171.5178.1183.992.6
17   Less: Capital transfers paid (net)0.00.028.7-270.7-222.9-137.3-48.6-78.9-63.0-77.2-14.9-10.8-12.5-34.3-27.7-55.1-18.9-0.10.057.3
18Capital formation, net36.730.722.3-0.5-10.2-10.7-11.5-9.8-17.8-16.0-12.0-9.9-9.4-7.9-0.82.86.75.55.09.9
19   Gross fixed capital formation (nonresidential)207.2203.8197.7176.1166.5166.5165.4169.0160.2160.7164.1166.1167.2170.4179.0184.2190.3191.5192.7199.1
20   Less: Consumption of fixed capital170.5173.0175.4176.6176.7177.2176.9178.8178.0176.6176.1176.0176.6178.3179.8181.4183.7186.0187.6189.2
21Net lending (+) or borrowing (-), capital
    account (lines 15-18)
-137.3-89.6-105.0-32.8267.6283.7310.1357.6323.6281.4224.9221.3117.2171.0193.4275.7183.7172.7178.925.4
                                         Financial
                                           account
22Net lending (+) or borrowing (-) (line 21)-137.3-89.6-105.0-32.8267.6283.7310.1357.6323.6281.4224.9221.3117.2171.0193.4275.7183.7172.7178.925.4
23Net acquisition of financial assets6,774.11,500.95,172.13,570.1-1,620.7-2,241.1-191.4-888.2-19.2-1,250.71,234.6174.34,562.53,011.1564.4730.71,583.71,020.51,921.73,395.9
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 deposits455.6195.4952.52,433.6-62.7-292.9740.4529.2-1.2-572.7-104.0104.51,877.1866.6-271.7-357.0-283.3-263.8-70.9468.8
26   Debt securities1,916.6489.51,029.71,527.2567.01,498.4680.3421.41,036.2314.91,288.6696.51,990.9722.51,673.91,063.11,605.0567.6962.71,220.7
27      SDR certificates0.00.00.00.00.00.012.00.00.00.00.00.00.00.00.00.00.00.00.00.0
28      Open market paper132.0-95.2-312.8243.8-567.4-617.2-291.2-111.3-308.0-136.895.1-63.7162.1-32.7-315.4-117.6-20.9-9.8-37.249.8
29      Treasury securities245.8-667.21,181.01,005.930.01,039.3365.627.6692.356.7334.3928.21,522.1683.31,004.8688.9679.6-27.4123.9422.9
30      Agency- and GSE-backed securities (1)668.21,045.2349.1838.51,057.4918.9217.7531.3324.286.4-3.0-197.3-45.551.7407.7223.7344.6169.7167.7197.6
31      Municipal securities214.769.011.6-126.626.285.461.0-19.110.225.190.051.1-46.5-2.721.281.6140.0103.3185.9122.5
32      Corporate and foreign bonds599.168.8-268.7-492.4-25.53.9258.6-84.0232.7206.0719.8-69.9289.7301.9152.1137.0355.0235.9476.6514.3
33      Nonmarketable government securities56.868.969.557.946.368.056.676.984.877.552.448.0109.1-279.1403.649.5106.695.845.8-86.5
34   Loans2,547.7587.14,238.6-1,550.7-2,529.1-4,192.7-2,385.4-2,670.0-578.6-385.8-729.1-339.8178.43.4246.9178.5-166.1510.6669.2738.2
35      Short term1,831.4343.34,138.1-1,415.5-2,716.5-4,143.0-2,190.2-2,461.0-78.1-103.5-461.8-128.4355.1197.2383.5292.0-4.4610.6677.5711.7
36      Long term (mortgages)716.3243.8100.5-135.2187.5-49.8-195.3-209.0-500.5-282.3-267.3-211.4-176.7-193.8-136.5-113.5-161.7-100.0-8.426.5
37   Equity and investment fund shares974.4748.8-196.31,870.3-194.0-214.558.2495.0-611.0-174.5293.4-47.7-79.9-23.1-289.334.8262.0-130.6314.2333.2
38      Corporate equities94.1376.6223.5209.1-320.8222.6228.5534.433.3169.3-71.9213.6-184.1-78.211.8-6.188.5102.993.341.0
39      Mutual fund shares47.751.852.452.4105.738.881.028.712.732.0-4.68.3-26.5-35.4-96.7-79.7-3.9-41.751.522.0
40      Money market mutual fund shares612.7-63.3-113.6698.6-6.2-298.5-230.7-163.1-518.5-253.623.458.8-111.9-68.0-237.1131.3-254.7-123.623.9214.5
41      Equity in government-sponsored enterprises
          (1)
-12.06.9-3.4-12.59.16.9-3.4-12.5-3.2-2.1-1.1-6.6-1.8-17.9-3.2-1.8-3.3-2.5-1.9-0.2
42      U.S. direct investment abroad66.540.558.999.931.726.980.723.46.225.343.7-84.36.630.313.3-13.524.030.019.217.0
43      Stock in Federal Reserve Banks4.41.31.83.15.96.82.72.92.51.50.3-0.6-0.90.8-1.93.61.30.50.10.0
44      Investment in subsidiaries161.1335.0-415.7819.7-19.3-217.9-100.681.3-144.0-146.9303.7-236.7238.7145.324.51.0410.1-96.1128.139.0
45   Insurance, pension and standardized guarantee
       schemes
195.5112.5356.9587.0474.0657.1458.7296.2197.9255.9448.1298.1299.71,181.0-409.1308.1322.6303.8463.4565.3
46   Other accounts receivable684.3-632.3-1,209.4-1,297.4124.1303.6256.440.0-62.5-688.637.6-537.3296.2260.7-386.3-496.9-156.533.0-416.869.7
47Net incurrence of liabilities6,774.81,581.15,376.43,930.8-1,091.2-3,238.5-272.7-450.7-197.3-1,149.4904.2690.84,650.12,857.5431.3805.31,580.5751.01,863.93,299.5
48   Currency and deposits253.081.43,383.54,866.5-722.4-449.51,216.01,005.3252.0-227.7192.51,119.42,940.12,104.3421.2363.7432.2569.5152.31,225.8
49   Debt securities681.61,049.0-167.8205.1-911.4-1,199.8-903.1-811.8-924.7-697.1-399.8-753.1-31.9-683.7-354.4-233.2-357.6-434.8-309.3-109.9
50      Agency- and GSE-backed securities (1)690.81,278.3702.8403.197.9-184.5-112.0-41.681.3-9.5-200.3-59.0235.4-321.14.9-6.7-140.4-8.5-7.667.0
51      Corporate bonds205.0-3.7-483.7-523.2-430.7-496.5-315.4-550.9-787.9-511.9-287.2-591.3-329.7-284.9-263.7-64.8-187.7-372.2-236.3-90.8
52      Commercial paper-214.2-225.7-386.8325.2-578.6-518.8-475.7-219.3-218.0-175.787.7-102.862.4-77.7-95.6-161.7-29.5-54.1-65.4-86.1
53   Loans1,697.6-857.42,220.5-3,682.8-1,776.0-1,783.2-1,136.1-1,888.8389.3-314.2-301.8-11.9273.6282.8553.5-319.0126.877.7206.0112.2
54      Short term1,677.2-854.82,214.6-3,686.2-1,799.7-1,804.4-1,136.5-1,890.4395.3-310.3-316.6-10.2251.4260.5549.6-324.4122.278.7195.5107.0
55      Long term (mortgages)20.4-2.65.93.423.721.30.41.7-6.0-3.914.9-1.722.222.33.95.44.7-1.010.55.2
56   Equity and investment fund shares2,368.41,111.3124.83,264.8560.3139.5-175.1559.3-658.6-150.6965.3139.01,226.2577.1-302.3494.1760.6567.01,305.51,288.1
57      Money market mutual fund shares1,583.8-147.388.81,371.6130.7-507.3-952.3-665.8-1,093.7-568.5-134.7-216.0-74.2-51.0-327.51.3-190.9-148.955.3312.8
58      Corporate equity issues341.2419.0379.21,417.5546.4219.8140.1359.140.1346.5208.5170.594.3200.6285.076.536.9135.8274.7225.1
59      Mutual fund shares157.1355.3-160.2-391.8-106.5698.1740.4656.3426.848.4601.3403.9841.6512.5-253.6253.1586.8585.4784.7542.5
60      Equity in government-sponsored enterprises
          (1)
-10.07.2-2.8-11.36.87.2-2.8-11.3-3.1-1.90.4-6.4-1.6-17.7-2.9-1.6-2.6-3.2-1.50.0
61      Foreign direct investment in the United
          States
130.279.6126.6146.4-15.063.253.780.732.023.663.375.035.944.723.435.4-33.521.120.0-4.6
62      Equity in noncorporate business8.3-4.05.736.423.3-21.9-8.69.5-0.15.9-3.20.9-11.8-0.25.5-0.229.45.3-3.6-5.3
63      Investment by parent153.3400.2-314.3693.0-31.3-326.3-148.2127.8-63.1-6.1229.4-288.3343.0-112.5-30.3126.0333.2-29.0175.8217.7
64      Stock in Federal Reserve Banks4.41.31.83.15.96.82.72.92.51.50.3-0.6-0.90.8-1.93.61.30.50.10.0
65   Insurance, pension and standardized guarantee
       schemes
668.2688.8684.2492.7564.8467.3530.3530.4586.7653.1714.9558.5566.7658.0693.7611.1434.7313.0586.9660.6
66   Other accounts payable1,105.9-492.0-868.9-1,215.51,193.5-412.9195.2154.8158.0-413.0-266.9-361.2-324.7-81.0-580.4-111.4183.7-341.4-77.5122.7
  Addendum:
67Net lending (+) or borrowing (-), financial
    account (lines 23-47)
-0.7-80.3-204.3-360.7-529.4997.481.3-437.5178.2-101.3330.4-516.4-87.5153.6133.0-74.73.2269.457.896.5
                       Other changes in volume
                         account
68Total other volume changes432.3-7.3295.8500.5247.4-276.6-574.2-472.9-124.7291.1-390.8-656.3-216.9-1.8463.8-409.7-151.1130.1-400.65.6
69   Disaster losses0.00.0-0.60.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-2.0
70   Other volume changes403.114.8312.8561.5442.5-431.0-512.9-298.1-102.6409.5-399.8-497.8-188.723.1509.2-350.0-135.8129.1-333.6-40.3
71   Less: Statistical discrepancy ((lines
       21-67)/4) (2)
-29.222.116.361.0195.1-154.461.2174.922.1118.4-9.0158.628.224.945.459.815.3-1.067.0-47.9
                                           
                                              Revaluation account
72   Nonfinancial assets6.76.622.330.1-2.4-24.7-22.81.2-5.51.73.26.99.213.510.88.46.67.44.57.7
73      Structures (nonresidential)10.68.518.121.8-5.1-24.6-21.23.9-1.20.40.61.67.210.89.67.33.05.72.34.9
74      Equipment-3.8-2.73.78.12.70.5-0.7-3.1-3.71.22.64.91.22.41.11.42.30.51.62.2
75      Intellectual property products-0.10.80.50.20.0-0.5-0.90.4-0.50.00.00.50.80.30.1-0.21.31.30.60.6
76   Financial assets-1,508.5-236.8-1,569.5-2,676.5-1,049.71,450.91,618.4663.4581.8-1,493.11,325.61,311.7670.2-126.1-2,081.9954.31,539.9-649.2809.8104.1
77      Corporate equities-1,262.1-193.1-1,359.8-2,284.8-869.01,212.81,346.2455.0460.5-1,227.41,100.51,080.4585.6-93.0-1,853.4836.31,300.0-559.1681.164.5
78      Mutual fund shares-246.4-43.6-209.7-402.4-180.8238.2272.2154.3121.3-265.7225.1190.784.5-33.1-228.5130.3240.0-90.1128.7-11.6
79      U.S. direct investment abroad0.00.00.010.80.00.00.054.20.00.00.040.70.00.00.0-12.30.00.00.051.2
80   Liabilities-1,539.2-699.6-1,151.4-3,032.9-1,272.01,426.81,686.5337.3707.4-1,416.61,092.71,212.1710.5-175.8-2,281.0955.31,622.1-682.5727.3195.5
81      Corporate equity issues-572.0-550.3-72.8-1,170.9-664.1477.2641.6-68.4353.1-449.6231.6390.8275.6-88.0-890.6329.6602.6-227.3212.0107.7
82      Mutual fund shares-560.2-68.9-735.6-1,060.0-332.8561.2611.6195.6177.8-561.3513.0452.6270.5-36.7-961.7387.5617.0-297.4310.687.6
83      Foreign direct investment in the United
          States
0.00.00.0-157.60.00.00.017.90.00.00.034.10.00.00.035.90.00.00.015.5
84      Equity in noncorporate business-3.60.0-4.9-5.0-3.54.72.4-0.10.6-1.71.20.21.9-0.3-3.00.2-2.2-1.31.70.8
85      Pension fund reserves-403.4-80.3-338.1-639.4-271.7383.7430.9192.9176.8-403.4347.1334.5162.5-50.6-425.5202.1404.7-156.4203.1-16.1
86      Investment by parent0.00.00.00.00.00.00.0-0.6-0.9-0.6-0.3-0.20.0-0.1-0.10.00.0-0.10.00.0
87Changes in net worth due to nominal holding
    gains/losses
37.4469.4-395.8386.5219.9-0.5-90.9327.3-131.0-74.8236.1106.6-31.263.2209.97.4-75.640.786.9-83.6
                    Changes in balance sheet account
88Change in net worth ((lines 18+21)/4 + lines
    68+87) (3)
444.6447.3-120.6878.7531.6-208.8-590.5-58.7-179.3282.7-101.5-496.8-221.1102.1721.8-332.7-179.2215.3-267.7-69.2
                       Balance sheet account (end
                         of period)
89Total assets69,580.069,812.969,906.069,085.868,403.368,805.269,881.070,074.569,866.368,569.369,988.671,144.472,589.573,198.671,855.772,797.774,991.174,680.376,010.877,063.2
90   Nonfinancial assets (4)1,611.61,625.91,653.11,683.01,678.01,650.61,625.01,623.81,613.91,611.61,611.81,616.31,623.11,634.71,645.31,654.41,662.61,671.31,677.11,685.4
91      Structures (nonresidential)982.4993.31,013.21,035.81,031.31,006.8985.2988.3984.5982.3980.3979.3983.1990.7997.41,001.81,002.11,005.01,004.61,005.8
92      Equipment486.6485.3488.7493.6490.0484.1477.3468.4462.4462.3464.5469.3470.9473.8476.5479.9485.0488.2492.4497.0
93      Intellectual property products142.6147.2151.2153.7156.7159.7162.5167.1167.0167.0167.0167.7169.1170.2171.4172.7175.4178.1180.1182.5
94   Financial assets67,968.468,187.068,252.967,402.766,725.367,154.668,256.068,450.768,252.466,957.668,376.869,528.170,966.471,563.970,210.571,143.373,328.573,009.074,333.775,377.9
95      Monetary gold11.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.0
96      Currency and deposits1,089.91,175.41,409.82,032.02,015.81,945.12,130.22,275.12,260.52,118.02,092.12,177.52,634.22,852.92,779.92,706.42,631.62,566.02,554.92,693.3
97      Debt securities17,156.317,244.817,461.617,988.518,057.218,394.618,527.818,802.918,490.718,505.218,814.519,058.019,492.219,595.020,019.220,420.320,857.720,940.721,185.821,601.7
98         SDR certificates2.22.22.22.22.22.25.25.25.25.25.25.25.25.25.25.25.25.25.25.2
99         Open market paper1,210.01,210.81,091.31,176.11,028.2888.9780.7779.4698.7650.3662.4676.0742.5702.5628.7600.1625.1608.7601.6595.6
100         Treasury securities1,805.21,604.71,908.72,212.92,190.72,420.32,519.32,578.52,723.92,709.52,798.13,081.43,438.53,581.13,835.54,056.24,216.94,181.94,216.74,368.0
101         Agency- and GSE-backed securities (1)4,596.34,852.54,932.85,159.15,420.95,655.35,701.95,894.95,501.35,524.25,517.25,484.75,457.05,475.75,572.15,644.15,728.65,778.65,814.05,878.2
102         Municipal securities1,713.51,721.61,722.01,703.81,705.41,718.91,731.21,742.21,737.71,737.01,756.21,786.31,766.31,759.21,761.21,799.71,825.81,845.01,888.41,937.6
103         Corporate and foreign bonds6,892.26,909.46,842.36,719.26,716.56,711.46,776.06,725.56,763.36,814.26,993.96,881.56,953.97,029.27,067.17,101.47,258.97,317.87,436.67,563.1
104         Nonmarketable government securities936.9943.5962.31,015.3993.2997.61,013.51,077.21,060.61,064.81,081.51,142.91,128.81,042.11,149.31,213.71,197.21,203.51,223.31,254.1
105      Loans24,989.025,103.926,188.725,800.325,061.523,958.623,362.322,567.922,349.222,209.722,028.921,817.021,734.821,712.321,764.221,817.221,757.921,867.322,067.022,282.6
106         Short term10,690.410,770.211,870.011,552.610,820.89,784.79,303.48,622.48,576.28,554.88,491.68,503.88,501.18,567.98,697.18,810.88,826.39,002.39,249.49,482.6
107         Long term (mortgages)14,298.614,333.714,318.814,247.714,240.714,174.014,058.913,945.613,773.013,654.913,537.313,313.213,233.713,144.313,067.013,006.512,931.612,865.112,817.512,799.9
108      Equity and investment fund shares17,872.617,833.216,198.713,972.613,573.714,982.816,598.317,367.917,819.916,296.217,677.018,959.119,632.919,514.017,340.818,286.120,221.419,551.720,525.320,712.1
109         Corporate equities11,280.011,191.49,872.07,622.86,695.57,975.39,361.99,934.010,424.39,251.010,316.611,434.011,995.711,894.310,026.410,845.412,190.411,667.012,354.012,413.3
110         Mutual fund shares2,299.72,269.02,072.41,683.11,528.71,776.62,069.02,230.52,354.92,097.32,321.32,514.02,591.92,550.02,297.32,407.62,646.62,546.02,687.62,681.6
111         Money market fund shares1,048.21,032.41,004.01,178.61,177.11,102.51,044.81,004.0874.4811.0816.8831.5803.6786.6727.3760.1696.4665.5671.5725.2
112         Equity in government-sponsored
             enterprises (1)
47.249.048.145.047.249.048.145.044.243.743.441.741.336.836.035.534.734.133.633.5
113         U.S. direct investment abroad678.1688.0702.2737.4746.7753.8773.2832.3835.2842.7852.4870.7873.8883.3885.0867.5875.3884.9887.9941.3
114         Stock in Federal Reserve Banks19.519.920.321.122.624.224.925.626.326.626.726.526.326.526.026.927.227.327.427.4
115         Investment in subsidiaries2,499.82,583.62,479.62,684.63,355.93,301.43,276.33,296.63,260.63,223.93,299.83,240.63,300.33,336.63,342.83,343.03,750.83,726.83,863.33,889.9
116      Insurance, pension and standardized
          guarantee schemes
2,696.72,806.03,209.03,992.24,407.84,236.13,959.13,826.73,869.34,436.64,359.44,158.74,114.24,453.44,766.44,533.94,336.74,540.64,466.54,583.9
117      Other accounts receivable4,152.84,012.73,774.03,606.03,598.33,626.23,667.23,599.03,451.73,380.93,393.73,346.83,346.93,425.33,528.93,368.43,512.33,531.73,523.23,493.3
118Total liabilities and net worth69,580.069,812.969,906.069,085.868,403.368,805.269,881.070,074.569,866.368,569.369,988.671,144.472,589.573,198.671,855.772,797.774,991.174,680.376,010.877,063.2
119   Liabilities69,339.969,125.469,339.267,640.366,426.267,036.968,703.168,955.468,926.467,346.768,867.570,520.172,186.472,693.470,628.771,903.474,276.073,749.975,348.076,469.6
120      Currency and deposits9,315.39,322.310,139.011,398.311,202.911,063.511,355.311,660.611,686.411,589.711,645.911,990.612,673.913,143.013,272.513,447.913,467.113,546.813,622.114,015.0
121      Debt securities15,034.515,288.315,218.315,249.815,363.515,034.714,777.914,497.113,724.313,526.913,409.413,432.113,401.313,208.713,106.613,032.312,986.412,853.012,888.812,850.8
122         Agency- and GSE-backed securities (1)7,540.47,862.38,045.38,143.48,160.38,118.88,098.18,083.37,633.47,637.67,594.17,574.07,624.37,553.37,560.07,552.17,508.57,517.27,519.57,529.7
123         Corporate bonds6,309.86,287.26,164.95,980.26,230.36,071.95,979.15,735.65,470.75,321.45,240.65,282.05,184.45,097.95,019.34,972.34,973.74,863.24,914.74,871.9
124         Commercial paper1,184.31,138.81,008.11,126.3973.0844.0700.7678.2620.2567.9574.8576.0592.6557.6527.3507.9504.3472.6454.6449.1
125      Loans6,906.66,711.47,280.56,343.85,954.95,529.75,255.04,768.44,850.94,795.34,722.34,720.74,774.24,864.64,998.94,913.14,930.54,974.75,079.65,106.5
126         Short term6,744.86,550.37,117.86,180.35,785.45,355.05,080.14,593.24,677.14,622.54,545.84,544.64,592.64,677.44,810.74,723.54,739.84,784.34,886.54,912.1
127         Long term (mortgages)161.8161.2162.7163.5169.4174.7174.8175.3173.8172.8176.5176.1181.6187.2188.2189.5190.7190.5193.1194.4
128      Equity and investment fund shares17,792.917,440.716,651.115,111.214,910.015,976.917,179.617,501.117,853.516,789.017,766.918,678.219,523.619,524.017,585.818,497.520,313.719,906.120,857.221,441.6
129         Money market fund shares3,382.53,318.33,355.33,757.33,739.03,584.63,363.03,258.62,930.52,760.42,746.12,755.42,679.42,637.82,577.92,642.52,535.52,467.92,506.92,649.6
130         Corporate equity issues4,115.53,669.93,691.92,875.42,347.92,880.03,556.63,578.13,941.13,578.23,861.94,295.44,594.54,556.63,737.24,085.94,697.84,504.54,785.14,949.1
131         Mutual fund shares7,329.17,365.66,567.75,388.05,062.55,814.76,585.86,920.77,246.46,711.57,346.57,873.08,402.18,503.77,449.57,870.98,797.48,653.49,131.09,323.6
132         Equity in government-sponsored
             enterprises (1)
53.555.354.651.853.555.354.651.851.050.550.649.048.644.243.543.142.441.641.341.2
133         Foreign direct investment in the United
             States
412.9432.8464.5343.5339.7355.5368.9407.0415.0420.9436.7489.6498.6509.8515.6560.4552.0557.3562.3576.6
134         Equity in noncorporate business11.110.16.610.713.012.212.514.815.415.115.515.914.914.613.013.118.318.319.118.6
135         Investment by parent2,468.82,568.82,490.32,663.53,331.83,250.33,213.23,244.53,227.93,225.73,282.83,173.43,259.13,230.83,223.13,254.63,643.13,635.83,784.33,855.6
136         Stock in Federal Reserve Banks19.519.920.321.122.624.224.925.626.326.626.726.526.326.526.026.927.227.327.427.4
137      Insurance, pension and standardized
          guarantee schemes
17,190.417,279.517,086.516,513.416,356.916,887.217,484.817,817.818,276.018,128.218,802.319,427.119,750.219,862.719,566.819,936.520,487.620,406.420,778.020,934.3
138      Other accounts payable3,100.13,083.22,963.73,023.82,638.12,545.02,650.62,710.32,535.32,517.72,520.72,271.52,063.22,090.32,098.12,076.12,090.62,063.02,122.32,121.5
139   Net worth240.2687.5566.81,445.51,977.11,768.31,177.81,119.1939.91,222.51,121.0624.2403.1505.21,227.0894.3715.1930.5662.8593.6
       Footnotes


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