Integrated Macroeconomic Accounts for the United States Table

Table S.3 Households and Nonprofit Institutions Serving Households
[Billions of dollars]
Today is: 11/21/2009   Last Revised on October 28, 2009  
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Line      2001       2002       2003       2004       2005       2006       2007       2008   
                       Current account
1Gross value added1,232.81,297.91,347.01,423.81,506.41,602.91,686.91,800.2
2Less: Consumption of fixed capital175.1185.5200.5222.2245.1268.1281.1283.9
3Equals: Net value added1,057.81,112.41,146.51,201.61,261.31,334.71,405.81,516.3
4   Compensation paid by households and
       NPISHs
454.1489.4520.6550.7571.1603.5634.3667.9
5      Wages and salaries387.2412.6435.2456.7473.4502.0531.0561.7
6      Employers' social contributions66.976.885.494.097.8101.5103.3106.2
7   Taxes on production and imports
       less subsidies
96.1104.0110.0116.4121.3131.1133.9142.9
8   Operating surplus, net507.6519.0515.9534.4568.8600.2637.6705.4
9Net national income/Balance of primary
    incomes, net
8,223.78,340.78,652.09,149.59,655.410,366.710,881.111,117.3
10   Operating surplus, net507.6519.0515.9534.4568.8600.2637.6705.4
11   Compensation of employees (received)5,979.36,110.86,382.66,693.47,065.07,477.07,856.58,037.4
12      Wages and salaries4,952.24,997.35,154.65,410.75,706.06,070.16,402.66,540.8
13      Employers' social contributions1,027.11,113.51,228.01,282.71,359.11,406.91,453.81,496.6
14   Property income (received)2,282.42,259.92,299.82,498.62,669.93,023.43,198.53,183.2
15      Interest977.7913.1891.1861.5988.31,128.91,267.71,309.4
16      Distributed income of corporations1,304.81,346.81,408.81,637.11,681.61,894.51,930.71,873.8
17         Dividends369.5397.7423.1548.3555.0702.2765.1686.4
18         Withdrawals from income of
             quasi-corporations 1
935.3949.1985.71,088.81,126.61,192.31,165.71,187.4
19   Less: Uses of property income
       (interest paid)
545.7548.9546.4576.9648.3733.8811.4808.8
20Net national income/Balance of primary
    incomes, net
8,223.78,340.78,652.09,149.59,655.410,366.710,881.111,117.3
21   Less: Current taxes on income,
       wealth, etc. (paid)
1,234.81,050.41,000.31,047.81,208.61,352.41,490.91,432.4
22      Plus social benefits (received)1,141.31,247.91,316.01,398.61,482.71,583.61,687.81,843.2
23   Less: Social contributions (paid)733.2751.5778.9827.3872.7921.8959.3990.6
24      Plus other current transfers
          (received)
46.834.225.716.925.821.430.232.6
25   Less: Other current transfers (paid)90.099.6105.7116.1131.0138.7149.8158.8
26Equals: Disposable income, net7,353.77,721.48,108.88,573.88,951.79,558.99,999.110,411.3
27   Less: Final consumption expenditures7,148.87,439.27,804.08,285.18,819.09,322.79,826.410,129.9
28Equals: Net saving204.9282.2304.8288.7132.7236.2172.6281.4
                       Capital account
29Net saving less capital transfers172.7253.2291.6278.5129.0219.4169.5284.4
30   Net saving204.9282.2304.8288.7132.7236.2172.6281.4
31   Less: Capital transfers paid (net)32.229.113.110.23.716.83.1-2.9
32Capital formation, net308.2333.1382.7463.1529.8501.4367.5228.7
33   Gross fixed capital formation,
       excluding consumer durables
483.3518.7583.2685.2774.9769.5648.6512.5
34      Residential406.7439.3498.9594.4681.9670.1541.9401.1
35      Nonresidential (nonprofit
          organizations)
76.679.384.390.893.099.3106.7111.5
36   Less: Consumption of fixed capital175.1185.5200.5222.2245.1268.1281.1283.9
37Net lending or borrowing, capital
    account (lines 29-32)
-135.5-80.0-91.1-184.5-400.8-281.9-198.055.7
                    Financial account
38Net lending or borrowing, capital
    account (line 37)
-135.5-80.0-91.1-184.5-400.8-281.9-198.055.7
39Net acquisition of financial assets437.4484.9873.71,101.2702.7716.01,028.8600.4
40   Currency and deposits346.3318.9248.9422.8365.9452.9370.0232.7
41      Currency and transferable deposits72.17.2-40.5-28.8-113.5-27.7-68.5101.3
42      Other deposits274.2311.7289.4451.5479.4480.6438.5131.3
43         Foreign deposits0.41.32.25.42.45.215.8-21.2
44         Time and savings deposits273.8310.4287.2446.2477.0475.4422.7152.5
45   Securities other than shares-115.516.652.3221.8229.7110.8475.1-8.4
46      Open market paper0.013.1-4.530.228.123.4-38.0-139.2
47      U.S. savings bonds5.64.58.90.60.7-2.7-6.0-2.4
48      Treasury securities-92.2-133.620.026.2-99.7-80.3-89.8150.0
49      Agency- and GSE-backed securities 2 -106.0-143.5146.230.6101.6-49.0347.184.6
50      Municipal securities49.697.625.438.678.650.824.142.1
51      Corporate and foreign bonds27.6178.5-143.795.6120.4168.6237.6-143.5
52   Loans47.9-28.159.5120.99.159.4204.0-103.8
53      Short term42.6-41.563.0105.8-0.380.0219.9-113.3
54      Long term (mortgages)5.313.4-3.515.19.4-20.6-15.99.5
55   Shares and other equity-206.0-190.1107.8-53.6-229.5-244.3-292.7277.2
56      Corporate equities-488.2-162.3-101.8-269.9-411.2-598.3-794.248.9
57      Mutual fund shares161.192.9274.4216.4228.1205.9244.4-3.8
58      Money market fund shares153.4-41.5-111.5-56.145.2165.2232.3234.9
59      Equity in noncorporate business-32.4-79.246.856.1-91.6-17.124.8-2.9
60   Insurance technical reserves364.8367.6405.2389.4327.4337.1272.4202.6
61      Net equity in life insurance and
          pension funds
345.7320.4348.8337.0269.3299.7206.3146.6
62         Net equity in life insurance
             reserves
77.260.166.833.116.165.634.267.0
63         Net equity in pension fund
             reserves
268.5260.3282.1303.8253.3234.1172.179.6
64      Prepayments of premiums and
          reserves against claims
19.047.156.452.558.037.466.156.0
65         Net equity in reserves of
             property-casualty insurance companies
12.521.622.923.625.64.66.711.9
66         Net equity in other life
             insurance company reserves
6.510.213.911.49.514.815.517.6
67         Net equity in Retiree Health
             Care Funds
0.015.419.617.423.018.143.926.5
68Net incurrence of liabilities630.9802.51,029.11,154.51,153.11,249.9904.1-106.2
69   Securities other than shares
       (municipals)
13.812.914.110.316.521.822.620.1
70   Loans619.4769.61,009.31,126.21,122.61,214.0865.9-145.1
71      Short term90.732.2151.0175.878.5209.6186.9-96.4
72         Consumer credit150.6104.5106.1117.0100.395.3136.940.2
73         Bank loans n.e.c.-22.0-24.212.1-23.09.749.913.418.0
74         Other loans and advances0.90.2-1.50.30.04.83.26.2
75         Security credit-38.8-48.234.381.5-31.659.733.4-160.7
76      Long term (mortgages)528.7737.4858.2950.41,044.11,004.4679.0-48.8
77   Insurance technical reserves
       (unpaid premiums)
-0.40.90.91.61.00.51.03.2
78   Other accounts payable (trade debt)-1.919.14.816.513.013.614.615.7
  Addendum:
79Net lending or borrowing, financial
    account (lines 39-68)
-193.5-317.6-155.4-53.3-450.4-533.8124.7706.6
           Other changes in volume account
80Total other volume changes189.2111.8405.4468.5332.924.7600.0694.1
81   Net investment in consumer durable
       goods
232.5243.2238.3242.2239.0227.6221.7135.0
82   Other volume changes14.7106.3231.495.0143.649.055.6-91.8
83   Less: Statistical discrepancy
       (lines 37-[39-68]) 3
58.0237.664.3-131.349.7251.9-322.7-650.9
                    Revaluation account
84   Nonfinancial assets1,001.11,006.91,309.52,124.32,646.3271.1-1,751.7-2,717.6
85      Real estate1,071.01,085.01,394.62,161.12,691.2306.0-1,700.2-2,706.7
86      Consumer durable goods-69.1-77.9-85.0-37.1-45.1-36.5-52.2-14.0
87      Equipment and software-0.8-0.2-0.20.20.31.50.73.1
88   Financial assets-1,709.9-2,552.53,970.62,720.73,221.03,996.31,557.9-9,254.4
89      Shares and other equity-1,018.1-1,698.12,697.82,094.02,733.02,892.31,046.8-6,152.8
90         Corporate equities-932.9-1,499.71,730.21,011.1919.72,086.8759.3-3,623.2
91         Mutual fund shares-250.6-489.1411.5296.7193.8342.4200.0-1,383.5
92         Equity in noncorporate business165.4290.7556.1786.21,619.5463.287.6-1,146.1
93      Insurance technical reserves-691.8-854.41,272.9626.8488.01,104.0511.1-3,101.7
94Changes in net worth due to nominal
    holding gains/losses
-708.8-1,545.75,280.14,845.05,867.34,267.4-193.8-11,972.0
        Changes in balance sheet account
95Change in net worth (lines 32+37+80+94)-346.9-1,180.75,977.25,592.06,329.34,511.6575.7-10,993.5
           Balance sheet account (end of
             period)
96Total assets50,114.449,736.256,744.963,506.270,987.576,749.078,228.867,134.0
97   Nonfinancial assets17,944.219,505.221,437.724,270.727,719.128,724.227,525.625,177.0
98      Real estate14,446.415,830.917,599.020,214.423,458.424,259.622,880.220,397.7
99      Consumer durable goods3,359.43,524.73,678.03,883.14,077.04,268.14,437.54,558.5
100      Equipment and software138.3149.6160.7173.2183.7196.5207.9220.9
101   Financial assets32,170.230,231.035,307.239,235.543,268.448,024.850,703.141,957.0
102      Currency and deposits3,763.84,082.74,390.24,838.45,204.35,664.66,034.66,245.7
103         Currency and transferable
             deposits
407.3414.5399.1370.3256.8236.4156.9236.7
104         Other deposits3,356.53,668.23,991.14,468.14,947.55,428.15,877.76,009.0
105            Foreign deposits48.749.952.157.559.965.281.059.8
106            Time and savings deposits3,307.83,618.33,939.04,410.64,887.65,363.05,796.75,949.2
107      Securities other than shares2,263.02,408.02,633.52,936.23,275.23,422.83,989.53,910.5
108         Open market paper97.3110.4105.9136.1164.2187.7149.710.4
109         U.S. savings bonds190.3194.9203.8204.4205.1202.4196.4194.0
110         Treasury securities253.490.4234.8327.8302.4230.755.946.0
111         Agency- and GSE-backed
             securities 2
428.3285.4421.2390.0488.3412.6689.8711.3
112         Municipal securities580.8678.4703.8742.4821.0871.8895.9938.0
113         Corporate and foreign bonds712.91,048.6964.21,135.61,294.11,517.72,001.72,010.9
114      Loans565.6537.5597.0717.9727.0786.4990.4886.6
115         Short term456.9415.5478.5584.3584.0664.0883.9770.5
116         Long term (mortgages)108.7122.1118.5133.6143.0122.4106.5116.0
117      Shares and other equity15,535.713,647.516,453.118,493.420,997.023,645.024,399.118,523.5
118         Corporate equities6,783.55,121.46,749.97,491.07,999.59,488.09,453.05,878.7
119         Mutual fund shares2,614.62,218.42,904.33,417.43,839.34,387.64,832.03,444.7
120         Money market fund shares1,113.21,071.7960.2904.1949.21,114.51,346.81,581.7
121         Equity in noncorporate business5,024.35,235.95,838.76,680.98,208.98,655.08,767.37,618.4
122      Insurance technical reserves10,042.19,555.311,233.412,249.613,064.914,506.115,289.612,390.6
123         Net equity in life insurance
             and pension funds
9,644.39,110.410,732.111,695.812,456.313,860.014,577.411,622.4
124            Net equity in life
                insurance reserves
880.0920.91,013.21,060.41,082.61,163.71,201.51,179.8
125            Net equity in pension fund
                reserves
8,764.38,189.49,718.910,635.511,373.712,696.213,375.910,442.6
126         Prepayments of premiums and
             reserves against claims
397.8444.9501.3553.8608.7646.1712.2768.2
127            Net equity in reserves of
                property-casualty insurance
                companies
222.4243.9266.8290.4316.0320.5327.3339.2
128            Net equity in other life
                insurance company reserves
175.4185.6199.5211.0217.3232.1247.6265.2
129            Net equity in Retiree
                Health Care Funds
0.015.435.052.475.493.5137.3163.8
130Total liabilities and net worth50,114.449,736.256,744.963,506.270,987.576,749.078,228.867,134.0
131   Liabilities8,008.88,811.39,842.811,012.112,164.213,414.014,318.114,216.9
132      Securities other than shares
          (municipals)
151.3164.2178.3188.6205.1226.9249.5269.6
133      Loans7,705.58,475.19,486.710,627.811,750.412,964.413,830.213,690.1
134         Short term2,249.82,282.02,453.42,629.32,707.72,917.33,104.23,007.9
135            Consumer credit1,891.81,996.32,102.52,219.52,319.82,415.02,551.92,592.1
136            Bank loans n.e.c.41.517.349.826.736.486.499.7117.7
137            Other loans and advances120.0120.2118.7119.0119.0123.8127.0133.2
138            Security credit196.4148.2182.5264.0232.4292.1325.5164.8
139         Long term (mortgages)5,455.86,193.17,033.37,998.59,042.710,047.110,726.010,682.2
140      Insurance technical reserves
          (unpaid premiums)
19.120.020.922.522.422.823.927.0
141      Other accounts payable (trade
          debt)
132.9152.0156.8173.3186.3199.9214.5230.2
142   Net worth42,105.640,924.946,902.152,494.058,823.363,334.963,910.652,917.1
       Footnotes

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