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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: 1/20/2017   Last Revised on December 14, 2016  

Data Table Options
First Year Last Year Series: Annual(A)  Quarterly(Q) Monthly(M)
Get all years    

Line      2012   
I
   2012   
II
   2012   
III
   2012   
IV
   2013   
I
   2013   
II
   2013   
III
   2013   
IV
   2014   
I
   2014   
II
   2014   
III
   2014   
IV
   2015   
I
   2015   
II
   2015   
III
   2015   
IV
   2016   
I
   2016   
II
   2016   
III
                                              
                                                 Current account
1Gross value added2,013.52,021.02,034.02,049.12,061.22,073.12,093.32,109.42,136.02,152.72,175.62,196.42,213.62,242.22,271.42,308.52,317.82,342.82,371.2
2Less: Consumption of fixed capital399.4401.9406.3410.8417.4423.8430.6439.0449.1451.9459.2464.9466.7468.5474.0477.9479.9487.7495.3
3Equals: Net value added1,614.11,619.11,627.71,638.31,643.81,649.31,662.71,670.51,686.91,700.81,716.51,731.41,746.81,773.71,797.41,830.61,837.91,855.11,875.9
4   Compensation paid by households and NPISHs751.0754.6760.7770.3773.2778.2782.7785.2798.1806.0816.4825.4828.5842.6856.6880.6877.3887.4902.6
5   Taxes on production and imports less subsidies156.0156.1156.4155.5156.6157.4158.1159.0159.3159.5159.7159.9160.5160.9161.3161.7162.2162.6163.0
6   Operating surplus, net707.1708.4710.6712.5714.0713.7722.0726.3729.5735.3740.3746.2757.8770.2779.4788.4798.3805.1810.4
7Net national income/Balance of primary incomes,
    net
12,023.512,162.912,217.012,672.412,359.312,472.812,574.012,671.112,914.513,097.713,277.713,435.813,481.513,669.013,812.713,942.013,963.814,144.114,311.2
8   Operating surplus, net707.1708.4710.6712.5714.0713.7722.0726.3729.5735.3740.3746.2757.8770.2779.4788.4798.3805.1810.4
9   Compensation of employees (received)8,504.08,550.08,587.68,798.08,705.18,823.78,880.68,960.49,108.39,173.89,299.69,432.19,502.39,637.69,740.09,892.49,892.610,046.510,176.9
10      Wages and salaries6,841.16,878.56,906.87,094.66,999.77,102.17,148.27,216.77,350.37,405.77,516.57,632.87,692.07,808.87,893.98,024.68,011.38,142.98,253.1
11      Employers' social contributions1,662.91,671.51,680.81,703.41,705.41,721.61,732.41,743.71,758.01,768.11,783.11,799.31,810.31,828.71,846.11,867.81,881.31,903.61,923.8
12   Property income received, net2,812.42,904.42,918.93,161.92,940.22,935.42,971.52,984.43,076.83,188.63,237.83,257.53,221.33,261.33,293.23,261.23,272.93,292.53,323.9
13Net national income/Balance of primary incomes,
    net
12,023.512,162.912,217.012,672.412,359.312,472.812,574.012,671.112,914.513,097.713,277.713,435.813,481.513,669.013,812.713,942.013,963.814,144.114,311.2
14Less: Current taxes on income, wealth, etc. (paid)1,472.41,492.81,511.71,568.71,644.91,681.31,681.51,703.61,751.41,755.61,800.01,840.91,909.41,937.21,944.41,963.81,932.71,952.11,985.5
15Plus: Social benefits (received)2,297.72,321.32,327.12,348.42,365.02,377.32,397.42,407.92,433.12,482.22,519.92,544.52,589.02,624.12,640.02,655.82,691.42,710.62,732.5
16Less: Social contributions (paid)941.6944.9948.0971.81,088.71,103.31,109.21,117.31,140.21,145.71,159.41,174.31,183.31,198.11,208.31,224.11,229.01,244.81,257.9
17Plus: Other current transfers (received)45.743.141.440.740.540.741.242.043.244.646.247.949.951.352.152.452.653.053.5
18Less: Other current transfers (paid)168.8175.5173.7182.0184.2183.3181.7185.1187.1188.3190.9195.9193.0195.4196.7196.7202.6195.3199.3
19Equals: Disposable income, net11,784.211,914.111,952.112,338.911,847.111,922.912,040.212,115.012,312.212,534.812,693.512,817.112,834.513,013.713,155.413,265.513,343.413,515.513,654.5
20Less: Final consumption expenditures10,956.211,008.311,073.611,164.311,256.711,284.511,379.111,524.411,636.111,800.611,941.012,075.812,098.912,240.212,356.912,438.812,498.012,692.712,825.3
21Equals: Net saving828.0905.7878.51,174.6590.4638.4661.1590.6676.1734.2752.5741.2735.6773.5798.5826.8845.5822.8829.2
                                              
                                                 Capital account
22Net saving less capital transfers821.5897.7868.01,219.8572.3619.3640.2568.7655.5714.7773.6721.9715.2752.4776.9804.0822.7806.7806.5
23   Net saving828.0905.7878.51,174.6590.4638.4661.1590.6676.1734.2752.5741.2735.6773.5798.5826.8845.5822.8829.2
24   Less: Capital transfers paid (net)6.58.010.5-45.218.019.120.921.920.719.5-21.119.320.521.121.622.722.816.122.7
25Capital formation, net84.586.793.3107.0130.4136.9141.6133.4127.0140.4150.5168.2183.9203.9216.9227.7243.1238.8235.1
26   Gross fixed capital formation, excluding
       consumer durables
491.6496.4507.5525.8555.8568.6580.1580.3584.1600.2617.7641.2658.8680.6699.2713.8731.2734.7738.5
27      Residential351.6356.9369.8393.5413.0430.8443.3446.5451.9466.3478.7498.1513.6532.0552.5571.2588.2588.8590.3
28      Nonresidential (nonprofit organizations)140.0139.5137.8132.3142.8137.8136.8133.8132.2133.9139.0143.1145.2148.6146.7142.6143.0145.9148.2
29   Less: Consumption of fixed capital399.4401.9406.3410.8417.4423.8430.6439.0449.1451.9459.2464.9466.7468.5474.0477.9479.9487.7495.3
30   Acquisition of nonproduced nonfinancial assets-7.7-7.8-7.9-8.0-8.0-8.0-7.9-7.9-8.0-8.0-8.0-8.1-8.2-8.2-8.2-8.2-8.2-8.2-8.2
31Net lending (+) or borrowing (-), capital
    account (lines 22-25)
737.0811.1774.71,112.8442.0482.4498.6435.2528.5574.3623.1553.6531.3548.5560.0576.4579.6567.8571.4
                                         Financial
                                           account
32Net lending (+) or borrowing (-) (line 31)737.0811.1774.71,112.8442.0482.4498.6435.2528.5574.3623.1553.6531.3548.5560.0576.4579.6567.8571.4
33Net acquisition of financial assets448.02,107.7822.71,410.21,049.81,120.9799.01,439.9769.61,483.7983.42,313.01,444.0739.71,497.41,482.51,387.81,081.61,411.2
34   Currency and deposits661.7516.6199.4949.5331.1144.3378.7535.1627.1398.2199.3801.4926.2174.1566.4878.1483.7507.71,225.9
35      Currency and transferable deposits297.4110.219.3282.7301.9-81.2-8.4323.6117.4246.1-100.735.6426.212.5-186.1341.3330.9-40.3-149.6
36      Foreign deposits-4.4-22.25.4-10.212.915.2-0.1-17.6-3.8-4.911.3-28.1-3.0-20.6-15.0-17.93.3-8.2-1.5
37      Time and savings deposits368.6428.7174.7677.016.2210.2387.2229.1513.4157.1288.7793.9503.0182.2767.6554.7149.5556.21,377.1
38      Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
39   Debt securities-1,010.2952.9-326.6108.8-906.9-555.322.5-267.0-762.9-123.4217.7460.5-410.1-145.21,043.5107.354.4-488.1300.3
40      Open market paper2.0-2.6-0.4-1.4-3.2-0.8-0.8-10.43.50.9-0.6-4.21.41.70.8-3.25.1-0.35.1
41      Treasury securities-277.5711.4-150.1610.4-121.6120.568.7-182.3-690.7-321.0-107.5205.6-17.8168.1625.689.060.2340.7477.3
42      Agency- and GSE-backed securities (1)-287.0113.7142.2-236.4-236.6-82.6116.881.287.2-2.8259.172.4-153.1121.5362.9445.2-194.9-213.3-195.6
43      Municipal securities-151.8-18.2-140.1-177.5-40.0-73.4-49.8-47.0-66.4-64.3-66.9-40.3-87.8-23.7-8.9-120.1-19.5-39.824.0
44      Corporate and foreign bonds-296.0148.6-178.1-86.3-505.5-519.0-112.4-108.5-96.6263.8133.5226.9-152.9-412.763.1-303.6203.5-575.3-10.5
45   Loans21.546.66.9-7.3-55.0198.5-16.498.7229.4-17.2102.9-83.511.5-108.1-5.3-94.7157.71.1-105.7
46      Short term34.761.819.95.4-53.9200.2-15.598.4201.0-20.899.0-88.86.7-114.4-8.6-99.9161.42.1-101.7
47      Long term (mortgages)-13.2-15.2-13.0-12.7-1.1-1.7-0.90.328.43.63.95.34.86.33.35.1-3.7-1.0-4.0
48   Equity and investment fund shares229.6317.9449.7-153.91,196.1804.8-165.5478.4334.5885.1120.0751.1438.1335.6-611.033.843.4596.5-467.9
49      Corporate equities-229.315.7-19.4-497.2477.4507.3-544.4109.8-246.9494.3-117.0540.6519.5167.0-623.00.389.9463.9-347.5
50      Mutual fund shares346.0189.1424.6258.2520.10.3173.6229.3296.6224.6173.5271.348.963.4102.118.8-197.4144.583.5
51      Money market fund shares-11.822.7-28.326.828.3120.728.8-56.5127.930.1-83.6-178.0-153.296.2-140.218.1110.7-28.0-236.9
52      Equity in noncorporate business126.190.779.663.5176.5177.5176.6195.7156.9136.2147.2117.322.98.950.1-3.440.216.233.0
53      Equity investment under Public-Private
          Inv. Program (2)
-1.4-0.2-6.8-5.2-6.1-1.00.00.00.00.00.00.00.00.00.00.00.00.00.0
54   Insurance, pension and standardized guarantee
       schemes
545.5273.7493.3513.0484.5528.6579.7594.7341.5341.0343.6383.5478.4483.4503.8558.1648.6464.4458.6
55      Insurance receivables due from
          property-casualty insurance companies
-32.5-19.0-20.00.830.746.039.335.3-10.7-0.6-2.9-19.413.230.236.114.113.618.622.6
56      Life insurance reserves-62.3-75.1-8.610.8-10.314.918.69.019.727.338.049.248.522.956.517.812.371.729.2
57      Pension entitlements (3)625.2364.2494.1501.7455.1472.2495.2531.1301.2284.9296.1362.1404.9440.0385.4512.0580.2331.4382.2
58      Non-life insurance reserves at life
          insurance companies
-0.2-15.119.0-10.8-5.8-1.214.4-5.715.012.71.7-6.29.2-4.513.7-5.830.729.715.7
59      Retiree Health Care Funds15.318.78.810.614.9-3.412.025.116.316.710.7-2.22.6-5.312.120.011.812.98.9
60Net incurrence of liabilities279.4261.2132.5384.4161.2142.7405.7251.0305.0676.9392.1308.1292.6563.4198.0528.9384.0625.0575.9
61   Debt securities (municipals)-7.0-17.8-13.7-16.8-6.4-12.3-17.9-20.9-4.6-3.3-10.6-8.2-1.7-14.6-10.5-5.12.60.2-9.2
62   Loans275.1267.6140.5411.0162.5146.3426.6266.4301.7671.2403.5315.2288.4572.8208.4533.5376.4621.6589.5
63      Short term338.2324.8230.7470.5194.0164.9360.1247.0282.3635.6375.8210.6247.9358.055.9364.9173.4377.3295.7
64         Consumer credit132.5190.4145.0188.4181.5150.9193.9177.1209.3240.5226.5210.9203.9266.6244.1216.3199.1230.5272.6
65         Depository institution loans n.e.c.91.4228.1-15.7139.5-4.430.0120.9-33.8148.4169.588.378.1103.046.8106.0146.168.3102.7-68.3
66         Other loans and advances114.2-93.6101.3142.617.0-16.045.2103.7-75.5225.661.0-78.3-59.044.6-294.22.5-94.044.191.4
67      Long term (mortgages)-63.1-57.3-90.1-59.5-31.5-18.666.619.419.435.527.7104.640.5214.8152.5168.6203.0244.4293.8
68   Insurance, pension and standardized guarantee
       schemes
7.37.41.6-13.84.07.6-4.04.43.95.5-2.6-1.94.43.5-0.9-0.24.83.3-3.9
69   Other accounts payable (trade debt)4.04.04.04.01.01.01.01.04.03.61.93.01.41.81.00.80.3-0.1-0.5
  Addendum:
70Net lending (+) or borrowing (-), financial
    account (lines 33-60)
168.61,846.4690.21,025.8888.6978.2393.31,188.9464.5806.8591.32,004.91,151.5176.31,299.4953.61,003.8456.6835.2
                       Other changes in volume
                         account
71Total other volume changes-45.177.8118.098.3381.5440.384.5465.378.8-104.9114.9492.0336.4134.4194.3428.0-39.9-348.796.8
72   Net investment in consumer durable goods41.640.041.244.248.345.845.546.247.153.255.657.558.861.760.960.465.667.971.3
73   Disaster losses0.00.00.0-20.90.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
74   Other volume changes-21.9-114.6113.252.2120.7386.3109.4171.7-73.0-87.8136.4-5.2-6.6308.221.6186.8-345.7-240.236.0
75   Less: Statistical discrepancy ((lines
       31-70)/4) (4)
64.8-152.436.4-22.7-212.5-8.270.4-247.4-104.870.377.1-439.7-284.2235.6-111.8-180.8-240.2176.510.5
                                           
                                              Revaluation account
76   Nonfinancial assets172.9411.2396.6375.5477.6578.8547.0428.0246.3216.6285.0369.2389.5300.2292.3336.7305.7350.2454.6
77      Real estate174.0423.7414.7384.7491.0605.6574.9449.8270.0234.6309.2402.5406.8299.3316.8351.5305.2372.7498.6
78      Consumer durable goods-1.3-12.1-18.5-9.6-12.1-27.7-29.7-24.0-24.5-18.8-24.6-33.7-19.50.9-24.7-14.7-0.4-23.0-44.9
79      Equipment-0.3-0.9-0.20.7-0.70.11.0-0.10.40.70.0-0.21.1-0.30.00.30.30.00.5
80      Intellectual property products0.60.50.4-0.3-0.60.80.82.20.40.10.40.60.90.30.1-0.40.70.50.4
81   Financial assets2,096.1-560.21,313.0449.11,920.2338.71,685.81,711.9672.81,334.4-264.2813.6970.414.4-1,941.31,156.8119.2655.2857.0
82      Corporate equities1,194.7-426.6574.9224.31,153.699.7829.0839.8408.1744.2-242.0432.9434.4-83.1-1,196.3632.239.9288.0235.0
83      Mutual fund shares398.6-133.5220.528.4256.7-41.6264.3288.690.8211.8-106.338.340.0-21.7-441.9148.412.1111.2232.4
84      Equity in noncorporate business65.0149.6282.7173.6168.1265.4309.4223.979.8159.4160.4228.5253.0142.4146.0168.640.0129.4151.6
85      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
86      Insurance, pension and standardized
          guarantee schemes
437.9-149.7234.922.8341.815.1283.1359.794.1219.0-76.3114.0243.0-23.1-449.1207.627.3126.5237.9
87Changes in net worth due to nominal holding
    gains/losses
2,269.0-148.91,709.6824.62,397.8917.52,232.82,139.8919.11,551.020.71,182.81,359.8314.6-1,649.01,493.4425.01,005.51,311.6
                    Changes in balance sheet account
88Change in net worth ((lines 25+31)/4 + lines
    71+87) (5)
2,484.4141.22,024.81,204.72,974.31,502.32,459.12,724.01,221.81,610.4310.31,828.41,934.2619.8-1,279.92,100.0646.9837.91,593.3
                       Balance sheet account (end
                         of period)
89Total assets79,366.479,529.181,526.982,818.485,742.987,261.889,838.792,630.193,846.495,624.996,060.197,976.599,896.7100,658.999,458.6101,696.8102,358.2103,360.6105,106.1
90   Nonfinancial assets23,522.223,994.824,455.724,880.525,438.826,098.026,724.827,231.827,556.127,860.528,238.028,706.729,200.829,613.930,020.430,473.630,902.631,380.031,964.8
91      Real estate18,351.618,792.619,227.019,613.920,131.620,767.421,373.121,853.022,151.122,417.422,760.123,200.523,649.723,996.124,362.524,766.925,126.725,555.426,109.8
92      Consumer durable goods4,763.64,791.54,814.34,848.94,885.14,903.24,919.04,941.24,963.84,998.15,029.15,052.95,092.25,154.95,191.15,236.85,301.95,346.85,373.2
93      Equipment295.4297.2299.3301.8304.5307.2310.1311.6313.6316.1318.4320.4323.9326.2328.7331.0333.0334.6336.6
94      Intellectual property products111.5113.4115.2115.9117.6120.2122.6126.0127.6128.8130.5132.8134.9136.7138.1138.9140.9143.2145.2
95   Financial assets55,844.255,534.357,071.157,937.960,304.161,163.863,113.965,398.366,290.467,764.567,822.169,269.870,695.971,045.069,438.271,223.271,455.671,980.673,141.3
96      Currency and deposits7,717.17,802.97,832.08,116.18,210.18,200.48,276.88,463.48,639.38,686.78,776.89,032.89,287.79,275.69,392.89,669.39,819.89,875.110,153.4
97            Currency and transferable deposits743.3763.6760.4887.4922.0896.3884.21,021.41,010.21,067.31,030.01,096.01,161.11,162.21,102.31,244.51,285.61,264.11,211.5
98            Foreign deposits56.350.752.049.552.756.556.552.151.149.952.745.745.039.836.131.632.430.430.0
99            Time and savings deposits6,917.56,988.77,019.57,179.27,235.37,247.67,336.17,389.97,578.07,569.47,694.07,891.08,081.68,073.78,254.58,393.28,501.88,580.68,912.0
100         Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
101      Debt securities4,188.74,229.14,168.64,137.54,108.94,285.14,340.54,335.34,157.93,961.13,997.33,993.13,963.24,150.44,337.04,440.04,191.03,739.83,733.7
102         Open market paper19.919.219.118.818.017.817.615.015.916.115.914.915.215.715.915.116.316.317.5
103         Treasury securities771.2816.7770.7919.51,004.61,125.31,144.51,143.51,023.1851.8820.1839.6866.9966.21,035.41,132.71,083.01,036.41,173.4
104         Agency- and GSE-backed securities (1)227.4238.1271.4199.1176.2205.8239.8266.9292.5266.6330.4298.9283.9330.5412.3521.3470.6394.8346.5
105         Municipal securities1,927.01,924.61,865.91,813.31,821.61,848.51,838.81,823.51,798.21,776.01,715.51,684.81,686.11,705.91,680.41,630.01,621.11,597.91,591.4
106         Corporate and foreign bonds1,243.21,230.51,241.41,186.91,088.51,087.71,099.71,086.41,028.41,050.61,115.31,155.01,111.01,132.11,193.11,141.01,000.0694.4604.8
107      Loans965.6977.2979.0977.1963.41,013.01,008.91,033.61,090.91,086.61,112.31,091.51,094.41,067.31,066.01,042.31,081.81,082.01,055.6
108         Short term814.2829.6834.6836.0822.5872.5868.6893.2943.5938.3963.0940.8942.5913.9911.8886.8927.2927.7902.3
109         Long term (mortgages)151.4147.6144.4141.2140.9140.5140.3140.4147.5148.4149.3150.7151.9153.4154.2155.5154.6154.3153.3
110      Equity and investment fund shares23,037.622,667.623,874.424,322.826,161.226,640.928,020.429,562.630,186.031,473.031,333.732,293.633,092.433,155.431,530.232,562.132,627.133,247.333,770.1
111         Corporate equities9,514.09,075.29,661.89,786.211,034.011,244.911,954.012,845.813,166.714,019.613,763.814,356.714,895.814,839.413,502.014,159.814,196.914,586.314,748.4
112         Mutual fund shares4,955.74,877.95,173.45,251.45,678.05,642.35,917.26,250.26,457.46,729.16,630.76,726.36,822.56,814.06,360.66,504.46,513.16,661.06,875.2
113         Money market fund shares1,048.81,021.81,043.91,108.81,059.91,054.21,095.21,139.11,113.81,082.81,100.01,113.21,016.1999.61,006.31,068.41,035.9986.0972.5
114         Equity in noncorporate business7,514.37,688.07,992.38,174.78,389.08,699.59,054.09,327.59,448.19,641.59,839.110,097.510,358.010,502.410,661.310,829.410,881.111,013.911,174.0
115         Equity investment under Public-Private
             Inv. Program (2)
4.94.83.11.80.20.00.00.00.00.00.00.00.00.00.00.00.00.00.0
116      Insurance, pension and standardized
          guarantee schemes
19,935.119,857.420,217.220,384.320,860.621,024.421,467.322,003.522,216.222,557.122,601.922,858.823,258.323,396.323,112.223,509.523,736.024,036.524,428.4
117         Insurance receivables due from
             property-casualty insurance companies
330.2325.5320.5320.7328.4339.9349.7358.5355.8355.7355.0350.1353.4361.0370.0373.5376.9381.5387.2
118         Life insurance reserves1,198.31,173.11,181.81,186.41,198.01,201.41,217.51,233.01,242.61,258.41,264.81,282.81,300.01,303.81,298.31,310.61,316.01,340.31,356.6
119         Pension entitlements (3)17,880.917,834.018,187.018,338.818,798.318,950.019,363.519,860.820,063.620,382.920,421.820,658.621,039.421,169.820,878.321,247.621,459.321,721.422,087.5
120         Non-life insurance reserves at life
             insurance companies
305.5301.7306.4303.7302.3302.0305.6304.2307.9311.1311.5310.0312.3311.1314.6313.1320.8328.2332.1
121         Retiree Health Care Funds220.3223.1221.5234.8233.6231.3231.0246.9246.2249.0248.8257.3253.2250.6251.0264.7263.0265.0265.0
122Total liabilities and net worth79,366.479,529.181,526.982,818.485,742.987,261.889,838.792,630.193,846.495,624.996,060.197,976.599,896.7100,658.999,458.6101,696.8102,358.2103,360.6105,106.1
123   Liabilities13,623.613,645.113,618.113,705.013,655.213,671.713,789.513,857.013,851.514,019.614,144.514,232.514,218.514,360.914,440.614,578.814,593.214,757.714,909.9
124      Debt securities (municipals)262.6258.1254.7250.5248.9245.8241.4236.1235.0234.1231.5229.4229.0225.4222.7221.5222.1222.1219.8
125      Loans13,083.213,106.313,081.313,174.813,125.313,142.813,265.913,337.213,330.813,497.513,625.213,715.013,700.013,844.813,927.014,066.314,078.914,242.514,398.1
126         Short term3,184.83,266.43,287.43,426.13,424.93,472.53,582.23,667.63,687.43,855.83,967.94,043.74,054.44,154.44,186.74,298.74,290.84,396.44,462.8
127            Consumer credit2,747.52,796.92,856.72,920.42,921.22,964.53,035.53,096.23,103.03,170.63,249.43,318.03,322.83,397.83,481.43,535.73,539.43,605.33,696.0
128            Depository institution loans n.e.c.31.787.323.162.656.364.692.090.8122.7167.0185.1211.9232.5246.3268.7325.7337.7366.3319.2
129            Other loans and advances405.6382.2407.5443.1447.4443.4454.7480.6461.7518.2533.4513.8499.1510.2436.7437.3413.8424.8447.6
130         Long term (mortgages)9,898.49,839.99,793.99,748.79,700.49,670.39,683.79,669.59,643.49,641.79,657.39,671.39,645.69,690.49,740.39,767.69,788.19,846.19,935.3
131      Insurance, pension and standardized
          guarantee schemes
26.928.729.125.726.728.627.628.729.731.030.429.931.031.931.731.632.833.632.7
132      Other accounts payable (trade debt)251.0252.0253.0254.0254.3254.5254.8255.0256.0256.9257.4258.1258.5258.9259.2259.4259.4259.4259.3
133   Net worth65,742.765,884.067,908.869,113.572,087.873,590.176,049.278,773.179,994.981,605.381,915.683,744.085,678.286,298.085,018.087,118.087,765.088,602.990,196.1
       Footnotes


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