Integrated Macroeconomic Accounts for the United States Table

S.3.a Households and Nonprofit Institutions Serving Households
[Billions of dollars]
Today is: 7/24/2014   Last Revised on June 16, 2014  
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Line      2004       2005       2006       2007       2008       2009       2010       2011   
                                              
                                                 Current account
1Gross value added1,510.91,599.51,689.41,749.61,855.31,913.61,927.51,971.9
2Less: Consumption of fixed capital323.4362.1396.2413.7414.6403.3400.5402.9
3Equals: Net value added1,187.51,237.51,293.21,335.91,440.71,510.31,527.11,569.0
4   Compensation paid by households and NPISHs545.6563.4590.9616.8658.2686.6695.2717.5
5      Wages and salaries452.2466.2490.9516.0549.9566.1577.3596.6
6      Employers' social contributions93.497.1100.0100.8108.3120.5117.9120.8
7   Taxes on production and imports less subsidies114.7120.7130.8135.1143.2152.4152.8154.2
8   Operating surplus, net527.2553.4571.5584.0639.3671.3679.1697.4
9Net national income/Balance of primary incomes,
    net
9,245.79,734.110,438.310,937.511,248.610,638.010,895.411,549.9
10   Operating surplus, net527.2553.4571.5584.0639.3671.3679.1697.4
11   Compensation of employees (received)6,740.57,087.87,503.27,899.18,079.27,787.87,967.38,278.5
12      Wages and salaries5,422.95,692.96,058.26,396.06,532.86,252.26,377.56,638.7
13      Employers' social contributions1,317.61,394.81,444.91,503.11,546.41,535.61,589.81,639.8
14   Property income (received)2,537.52,722.23,071.63,234.63,303.62,895.72,900.23,188.6
15      Interest942.91,089.41,216.11,351.51,363.01,265.21,196.21,205.3
16      Distributed income of corporations1,594.51,632.81,855.51,883.11,940.61,630.51,704.01,983.3
17         Dividends562.1578.3723.7816.5805.4547.9544.6680.5
18         Withdrawals from income of
             quasi-corporations (1)
1,032.51,054.51,131.81,066.61,135.21,082.61,159.41,302.8
19   Less: Uses of property income (interest paid)559.5629.3707.9780.2773.5716.8651.2614.6
20Net national income/Balance of primary incomes,
    net
9,245.79,734.110,438.310,937.511,248.610,638.010,895.411,549.9
21Less: Current taxes on income, wealth, etc. (paid)1,046.01,208.51,352.11,487.91,435.21,144.91,191.51,404.0
22Plus: Social benefits (received)1,399.91,486.31,588.21,692.21,847.32,101.52,234.02,260.3
23Less: Social contributions (paid)829.2873.3922.6961.4988.2964.4984.1918.2
24Plus: Other current transfers (received)16.825.721.530.636.638.743.046.7
25Less: Other current transfers (paid)116.3131.2138.9149.3152.3155.2160.6154.6
26Equals: Disposable income, net8,671.09,033.09,634.410,061.710,556.810,513.610,836.111,380.0
27Less: Final consumption expenditures8,257.88,790.39,297.59,744.410,005.59,842.910,201.910,711.8
28Equals: Net saving413.2242.7336.9317.2551.3670.7634.2668.2
                                              
                                                 Capital account
29Net saving less capital transfers411.9264.6320.3310.4543.7699.1654.8666.1
30   Net saving413.2242.7336.9317.2551.3670.7634.2668.2
31   Less: Capital transfers paid (net)1.4-21.916.66.87.7-28.4-20.62.1
32Capital formation, net433.8493.8453.8311.2154.955.243.445.5
33   Gross fixed capital formation, excluding
       consumer durables
765.9865.0860.1736.1580.4468.1452.4456.7
34      Residential643.8738.9722.7582.3425.3321.1318.3317.1
35      Nonresidential (nonprofit organizations)122.1126.1137.4153.9155.2147.1134.1139.6
36   Less: Consumption of fixed capital323.4362.1396.2413.7414.6403.3400.5402.9
37   Acquisition of nonproduced nonfinancial assets-8.7-9.1-10.1-11.2-11.0-9.7-8.5-8.3
38Net lending (+) or borrowing (-), capital
    account (lines 29-32)
-22.0-229.3-133.4-0.8388.8643.9611.4620.6
                                         Financial
                                           account
39Net lending (+) or borrowing (-) (line 38)-22.0-229.3-133.4-0.8388.8643.9611.4620.6
40Net acquisition of financial assets1,386.4953.61,034.31,202.8739.7813.3916.91,137.5
41   Currency and deposits389.4370.2451.9419.3408.7200.5197.3697.3
42      Currency and transferable deposits-58.2-113.9-40.0-75.4176.7101.138.9328.3
43      Time and savings deposits442.2481.6486.7479.4255.6106.0159.0371.8
44      Foreign deposits5.42.45.215.4-23.7-6.6-0.6-2.8
45      Postal savings system deposits0.00.00.00.00.00.00.00.0
46   Debt securities244.7168.289.4542.4248.8198.872.1-101.5
47      Open market paper6.414.719.0-10.2-101.316.7-1.5-1.8
48      Treasury securities-10.6-121.2-103.8-37.1147.9534.3322.5-228.6
49      Agency- and GSE-backed securities (2)109.8153.3-29.9331.4238.9-671.0-3.5-11.0
50      Municipal securities118.577.834.837.947.3107.143.7-63.5
51      Corporate and foreign bonds20.543.5169.3220.3-83.9211.8-289.1203.4
52   Loans127.4-0.970.8220.4-159.2-47.61.6-5.1
53      Short term117.0-9.087.9233.3-160.4-46.812.5-5.9
54      Long term (mortgages)10.48.1-17.1-12.91.1-0.9-10.90.7
55   Equity and investment fund shares-90.9-242.4-265.2-666.4-413.9-10.237.0-82.0
56      Corporate equities-281.0-421.7-653.9-1,104.2-313.8-1.3-191.4-236.9
57      Mutual fund shares165.9176.7167.0232.9-41.1339.4232.6263.1
58      Money market fund shares-56.144.4218.0239.4234.7-267.9-182.8-35.1
59      Equity in noncorporate business80.2-41.83.7-34.6-293.7-81.5174.5-73.8
60      Equity investment under Public-Private
          Inv. Program (3)
0.00.00.00.00.01.24.00.7
61   Insurance, pension and standardized guarantee
       schemes
715.8658.6687.3687.1655.2471.8608.9628.8
62      Insurance receivables due from
          property-casualty insurance companies
23.625.64.66.711.08.7-35.236.7
63      Life insurance reserves33.115.157.818.259.924.66.273.9
64      Pension entitlements (4)630.3585.4592.1602.8540.2413.5598.3484.9
65      Non-life insurance reserves at life
          insurance companies
11.49.514.815.517.68.417.114.8
66      Retiree Health Care Funds17.423.018.143.926.516.622.518.5
67Net incurrence of liabilities1,151.31,159.41,274.9960.710.463.5-107.2-59.4
68   Debt securities (municipals)14.715.116.421.19.35.9-2.2-7.8
69   Loans1,118.61,130.31,244.4924.0-24.321.1-78.2-52.4
70      Short term179.069.2229.1178.8-114.9-36.6102.416.2
71         Consumer credit117.2100.4120.5151.334.9-103.6-25.3108.5
72         Depository institution loans n.e.c.-20.00.344.2-9.14.628.350.1-54.9
73         Other loans and advances0.30.04.83.26.20.52.41.9
74         Security credit81.5-31.659.733.4-160.738.175.2-39.3
75      Long term (mortgages)939.61,061.01,015.2745.290.757.7-180.6-68.7
76   Insurance, pension and standardized guarantee
       schemes
1.61.00.51.03.2-4.92.7-0.4
77   Other accounts payable (trade debt)16.513.013.614.622.241.4-29.41.2
  Addendum:
78Net lending (+) or borrowing (-), financial
    account (lines 40-67)
235.2-205.8-240.6242.0729.3749.81,024.11,196.9
                       Other changes in volume
                         account
79Total other volume changes1,591.1343.9625.7622.2432.3707.51,291.4544.3
80   Net investment in consumer durable goods254.8252.4239.6231.1134.650.386.9121.9
81   Disaster losses-12.0-50.40.00.0-8.30.00.00.0
82   Other volume changes1,091.2118.5493.2148.3-34.5551.3791.8-153.9
83   Less: Statistical discrepancy (lines 38-78) (5)-257.1-23.4107.1-242.8-340.5-105.9-412.7-576.3
                                           
                                              Revaluation account
84   Nonfinancial assets2,401.92,845.1355.9-1,912.3-3,673.0-1,244.9-471.2-222.4
85      Real estate2,434.22,886.7399.8-1,859.3-3,646.1-1,203.9-385.9-244.6
86      Consumer durable goods-34.5-44.1-46.9-55.6-32.0-40.8-88.317.9
87      Equipment1.10.41.50.13.9-0.51.42.0
88      Intellectual property products1.02.11.52.61.20.31.52.3
89   Financial assets2,694.82,569.53,486.51,419.2-7,937.11,621.22,907.9340.4
90      Corporate equities1,003.51,076.82,289.9929.3-3,886.41,566.41,690.6192.0
91      Mutual fund shares328.045.0345.6274.6-1,333.3469.7251.8-270.3
92      Equity in noncorporate business1,149.61,185.7433.3104.9-1,169.4-1,185.3489.7537.6
93      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.0-0.3-1.0-0.2
94      Insurance, pension and standardized
          guarantee schemes
213.8262.0417.7110.4-1,548.1770.7476.8-118.8
95Changes in net worth due to nominal holding
    gains/losses
5,096.75,414.73,842.5-493.1-11,610.0376.32,436.6118.0
                    Changes in balance sheet account
96Change in net worth (lines 32+38+79+95)7,099.76,023.14,788.5439.6-10,634.11,782.84,382.81,328.3
                       Balance sheet account (end
                         of period)
97Total assets67,584.974,766.480,853.882,226.171,476.273,030.377,130.178,258.0
98   Nonfinancial assets24,993.728,533.529,581.128,208.824,813.923,671.023,323.323,265.8
99      Real estate20,816.724,127.424,958.823,385.819,861.418,693.418,330.918,111.2
100      Consumer durable goods3,899.54,107.84,300.54,476.04,578.64,588.14,586.74,726.4
101      Equipment190.6206.9226.3246.1268.5279.5290.6304.6
102      Intellectual property products86.891.495.5100.9105.4110.0115.0123.6
103   Financial assets42,591.246,232.951,272.754,017.346,662.449,359.353,806.954,992.2
104      Currency and deposits4,949.75,319.95,798.06,217.46,591.16,777.16,929.27,626.5
105         Currency and transferable deposits399.8285.8239.6153.2294.9396.0423.6752.0
106         Foreign deposits57.559.965.280.556.950.249.746.9
107         Time and savings deposits4,492.44,974.15,493.25,983.66,239.36,330.86,455.96,827.7
108         Postal savings system deposits0.00.00.00.00.00.00.00.0
109      Debt securities3,777.24,054.54,201.94,818.94,919.85,393.35,629.45,226.9
110         Open market paper83.798.4117.5107.36.022.721.119.4
111         Treasury securities474.5427.6327.7205.7188.7859.71,134.4715.6
112         Agency- and GSE-backed securities (2)432.9582.9610.7872.01,057.7358.3353.7304.6
113         Municipal securities1,522.91,600.71,635.71,673.61,720.91,828.11,871.81,808.3
114         Corporate and foreign bonds1,263.21,344.91,510.31,960.21,946.52,324.62,248.32,379.0
115      Loans773.8772.9912.51,132.9973.6928.3929.9924.8
116         Short term641.1632.1788.91,022.1861.8817.4829.8824.0
117         Long term (mortgages)132.6140.8123.6110.7111.8110.9100.1100.8
118      Equity and investment fund shares19,121.421,162.124,446.525,090.518,289.919,141.921,625.222,009.9
119         Corporate equities7,515.58,170.610,306.110,131.25,931.07,496.18,995.39,025.4
120         Mutual fund shares3,403.93,625.74,173.64,681.13,306.74,115.84,600.24,502.9
121         Money market fund shares898.4942.81,106.71,346.11,580.91,313.01,130.21,110.2
122         Equity in noncorporate business7,303.68,423.08,860.18,932.17,471.36,216.26,895.67,366.9
123         Equity investment under Public-Private
             Inv. Program (3)
0.00.00.00.00.00.93.84.4
124      Insurance, pension and standardized
          guarantee schemes
13,969.214,923.615,913.816,757.815,888.017,118.718,693.219,204.2
125         Insurance receivables due from
             property-casualty insurance companies
290.4316.0320.5327.3337.3346.0310.8347.5
126         Life insurance reserves1,060.41,082.61,055.21,076.81,049.81,109.21,137.21,203.6
127         Pension entitlements (4)12,355.113,232.314,212.514,968.814,071.915,209.516,751.617,126.1
128         Non-life insurance reserves at life
             insurance companies
211.0217.3232.1247.6265.2273.6290.7305.5
129         Retiree Health Care Funds52.475.493.5137.3163.8180.4202.9221.4
130Total liabilities and net worth67,584.974,766.480,853.882,226.171,476.273,030.377,130.178,258.0
131   Liabilities11,004.112,162.413,461.314,394.014,278.214,049.513,766.513,566.0
132      Debt securities (municipals)197.6212.7229.1250.2259.5265.4263.2255.5
133      Loans10,610.811,741.013,009.513,905.413,755.013,483.813,229.813,036.3
134         Short term2,586.32,655.52,908.73,090.12,975.12,873.63,122.83,144.4
135            Consumer credit2,220.12,320.62,461.92,615.72,650.62,552.82,647.42,755.9
136            Depository institution loans n.e.c.-16.8-16.530.921.826.4-15.961.011.5
137            Other loans and advances119.0119.0123.8127.0133.2133.7136.1138.1
138            Security credit264.0232.4292.1325.5164.8203.0278.2238.9
139         Long term (mortgages)8,024.59,085.510,100.710,815.410,779.910,610.210,107.09,891.9
140      Insurance, pension and standardized
          guarantee schemes
22.522.422.823.927.022.124.724.3
141      Other accounts payable (trade debt)173.3186.3199.9214.5236.7278.2248.8250.0
142   Net worth56,580.862,604.067,392.567,832.157,198.058,980.963,363.764,692.0
       Footnotes


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