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Integrated Macroeconomic Accounts for the United States Table

S.4.q Nonfinancial Noncorporate Business (1)
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 10/18/2017   Last Revised on September 27, 2017 

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
   2016   
IV
                                              
                                                 Current account
1Gross value added2,882.02,886.32,924.62,946.23,004.62,994.13,028.63,055.83,061.13,148.23,217.13,274.63,216.33,265.33,292.13,323.83,307.33,338.33,384.03,380.6
2Less: Consumption of fixed capital269.8271.7274.0276.5279.4282.6285.8289.7293.7296.7301.0304.7307.5309.6312.3314.5316.2319.4322.2325.0
3Equals: Net value added2,612.22,614.62,650.62,669.82,725.32,711.52,742.72,766.12,767.52,851.52,916.12,969.92,908.82,955.72,979.93,009.42,991.23,018.93,061.83,055.5
4   Compensation of employees (paid)883.8871.5888.3926.8889.6911.5931.0949.7920.4953.6982.21,018.8980.11,014.11,029.91,072.21,040.31,059.51,077.61,059.8
5   Taxes on production and imports less subsidies166.5166.8166.2170.4173.8174.5178.0180.2180.4185.7188.4191.6191.3193.7193.0194.9191.5189.0193.4195.0
6   Operating surplus, net1,561.91,576.41,596.11,572.51,661.81,625.51,633.81,636.21,666.71,712.21,745.41,759.61,737.41,747.91,756.91,742.31,759.31,770.31,790.81,800.7
7Net national income/Balance of primary incomes,
    net
29.527.725.826.128.629.930.130.530.729.829.028.326.125.725.425.426.225.726.226.1
8   Operating surplus, net1,561.91,576.41,596.11,572.51,661.81,625.51,633.81,636.21,666.71,712.21,745.41,759.61,737.41,747.91,756.91,742.31,759.31,770.31,790.81,800.7
9   Property income received, net-1,532.4-1,548.7-1,570.3-1,546.5-1,633.2-1,595.6-1,603.7-1,605.7-1,636.0-1,682.4-1,716.4-1,731.3-1,711.2-1,722.2-1,731.5-1,716.9-1,733.1-1,744.6-1,764.6-1,774.6
10Net national income/Balance of primary incomes,
    net
29.527.725.826.128.629.930.130.530.729.829.028.326.125.725.425.426.225.726.226.1
11Less: Other current transfers (paid)29.527.725.826.128.629.930.130.530.729.829.028.326.125.725.425.426.225.726.226.1
12Equals: Disposable income, net0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
13Equals: Net saving0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
                                              
                                                 Capital account
14Net saving less capital transfers-0.10.10.019.70.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
15   Net saving0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
16   Less: Capital transfers paid (net)0.1-0.10.0-19.70.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
17Capital formation, net40.844.027.430.362.363.873.484.166.077.491.876.790.890.291.380.376.376.276.483.7
18   Gross fixed capital formation307.3313.5311.2318.3329.5332.1333.5350.8357.7364.7381.5372.7376.0383.6388.7386.1388.4392.0396.0401.2
19      Nonresidential240.3246.3242.3245.9253.0252.8252.2269.0272.8276.9291.2279.4278.2283.2285.1280.2278.1281.4284.9287.0
20      Residential66.967.268.972.476.579.381.381.884.987.890.393.397.7100.4103.6106.0110.3110.6111.1114.2
21   Less: Consumption of fixed capital269.8271.7274.0276.5279.4282.6285.8289.7293.7296.7301.0304.7307.5309.6312.3314.5316.2319.4322.2325.0
22   Change in private inventories3.32.2-9.8-11.612.114.425.723.01.99.411.38.722.316.214.98.64.13.72.67.5
23Net lending (+) or borrowing (-), capital
    account (lines 14-17)
-40.9-43.9-27.4-10.6-62.3-63.8-73.4-84.1-66.0-77.4-91.8-76.7-90.8-90.2-91.3-80.3-76.3-76.2-76.4-83.7
                                         Financial
                                           account
24Net lending (+) or borrowing (-) (line 23)-40.9-43.9-27.4-10.6-62.3-63.8-73.4-84.1-66.0-77.4-91.8-76.7-90.8-90.2-91.3-80.3-76.3-76.2-76.4-83.7
25Net acquisition of financial assets301.8301.3301.0300.6304.8304.6304.2304.4442.2442.1442.6443.5287.6341.8236.7444.9374.8298.4369.4315.5
26   Currency and deposits69.669.469.369.123.623.523.423.584.984.885.085.360.672.649.795.181.064.379.868.0
27      Currency and transferable deposits59.559.359.259.112.012.011.911.969.269.169.369.635.743.229.057.449.839.449.041.7
28      Time and savings deposits10.110.110.110.111.511.511.511.515.715.715.715.725.029.320.737.731.224.930.826.4
29   Debt securities4.24.24.24.20.50.50.50.51.71.71.71.73.84.53.25.84.83.84.74.0
30      Treasury securities4.04.04.04.02.22.22.22.22.02.02.02.03.64.23.05.44.53.64.43.8
31      Municipal securities0.20.20.20.2-1.7-1.7-1.7-1.7-0.3-0.3-0.3-0.30.30.30.20.40.30.20.30.3
32   Loans-2.4-2.4-2.4-2.41.01.01.01.0-0.4-0.4-0.4-0.42.22.51.83.32.72.22.72.3
33      Short term (consumer credit)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
34      Long term (mortgages)-2.4-2.4-2.4-2.41.01.01.01.0-0.4-0.4-0.4-0.42.22.51.83.32.72.22.72.3
35   Equity and investment fund shares3.32.73.43.21.83.13.02.54.03.33.63.85.76.85.08.77.06.97.75.6
36      Money market mutual fund shares3.03.03.03.02.02.02.02.02.92.92.92.95.46.34.48.16.75.36.65.7
37      Equity in government-sponsored enterprises
          (2)
0.3-0.30.40.2-0.21.11.00.51.10.30.70.90.40.50.60.60.31.51.1-0.1
38   Insurance, pension and standardized guarantee
       schemes (3)
11.416.615.018.6-28.1-23.6-25.7-27.010.215.014.411.3-13.2-8.0-7.4-12.0-3.9-2.2-0.4-5.7
39   Other accounts receivable215.7210.8211.5207.8305.9300.1302.0304.0341.8337.6338.3341.8228.5263.4184.5344.1283.2223.4274.8241.3
40      Trade receivables4.64.64.64.648.848.848.848.821.221.221.221.241.849.134.763.252.241.851.544.1
41      Other (miscellaneous assets)211.1206.2206.9203.2257.1251.2253.1255.1320.6316.5317.1320.6186.7214.3149.8280.9231.0181.6223.3197.1
42Net incurrence of liabilities332.3343.9332.6318.6356.3369.8385.0390.4505.5515.5532.3529.1384.8436.2327.0515.6452.7375.4445.4397.1
43   Loans166.0188.3176.9170.293.0117.0110.8115.4273.4281.4284.7295.9260.2330.4239.6413.5338.5285.4325.1290.4
44      Short term63.586.575.470.011.535.730.436.085.994.597.3106.699.5116.145.0154.6145.568.343.343.3
45         Depository institution loans n.e.c.68.366.861.961.524.621.223.020.592.280.585.089.2115.199.732.0145.0160.649.049.431.1
46         Other loans and advances-4.819.613.58.6-13.114.57.515.5-6.214.012.317.4-15.616.413.09.6-15.119.3-6.012.2
47      Long term (mortgages)102.5101.9101.5100.281.581.480.479.4187.5186.9187.4189.3160.7214.3194.6258.8193.0217.1281.8247.1
48   Equity and investment fund shares97.187.384.565.3181.8176.7196.3195.7144.4136.5151.8138.431.719.830.40.742.427.546.143.9
49      Equity in noncorporate business96.785.384.364.6181.7176.9194.5195.7146.4135.1151.6130.728.317.829.7-1.041.223.542.244.0
50      Foreign direct investment in the United
          States
0.42.00.20.60.1-0.21.70.0-1.91.40.37.73.42.00.71.71.24.03.9-0.1
51   Other accounts payable69.268.371.283.281.576.177.979.387.697.695.794.992.986.057.0101.471.862.674.262.7
52      Trade payables9.88.911.823.836.531.132.934.32.912.811.010.148.650.933.476.950.342.252.842.1
53      Taxes payable7.67.67.67.63.23.23.23.26.86.86.86.83.13.62.54.63.83.13.83.2
54      Other (miscellaneous liabilities)51.851.851.851.841.841.841.841.877.977.977.977.941.331.521.119.917.617.317.617.4
  Addendum:
55Net lending (+) or borrowing (-), financial
    account (lines 25-42)
-30.5-42.6-31.6-18.1-51.5-65.2-80.8-86.0-63.2-73.4-89.7-85.5-97.2-94.5-90.2-70.7-77.9-77.1-76.1-81.6
                       Other changes in volume
                         account
56Total other volume changes26.522.722.79.247.644.949.549.738.333.838.333.19.24.27.72.112.15.310.711.2
57   Disaster losses0.00.00.0-8.60.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
58   Other volume changes26.522.722.717.847.644.949.549.738.333.838.333.19.24.27.72.112.15.310.711.2
                                           
                                              Revaluation account
59   Nonfinancial assets147.0184.9244.7131.7180.6294.9288.0171.8169.3291.1145.7171.9277.9216.8182.911.457.7258.0305.985.2
60      Real estate137.5188.4235.7136.3182.0297.4287.2178.8145.7292.3163.1181.6285.7223.6203.824.353.2263.5320.279.1
61         Residential63.7130.7122.994.8118.0167.7152.7109.7132.5177.2112.638.7117.7205.6132.559.6150.5219.4116.044.5
62         Nonresidential73.857.7112.841.564.0129.8134.669.113.2115.150.5143.0168.018.071.3-35.3-97.344.1204.234.6
63      Equipment6.1-1.02.7-1.32.22.08.4-5.25.40.2-11.7-2.4-0.1-0.1-4.52.2-1.60.04.11.7
64         Residential0.40.0-0.5-0.2-0.5-0.6-0.6-0.3-0.4-1.1-0.2-0.7-0.5-0.2-0.4-0.5-0.5-0.2-0.6-0.6
65         Nonresidential5.7-1.03.2-1.12.72.69.0-4.95.81.2-11.6-1.70.30.2-4.12.6-1.10.24.72.3
66      Intellectual property products3.91.30.6-3.60.82.20.80.04.62.4-0.8-4.14.31.7-0.1-3.63.7-0.2-3.2-1.4
67      Inventories-0.5-3.75.80.3-4.3-6.7-8.5-1.713.6-3.8-4.9-3.3-12.0-8.4-16.4-11.42.4-5.3-15.25.8
68   Liabilities (direct investment in the U.S.)0.00.00.0-0.50.00.00.00.30.00.00.00.30.00.00.00.70.00.00.0-1.3
69Changes in net worth due to nominal holding
    gains/losses
147.0184.9244.7132.2180.6294.9288.0171.5169.3291.1145.7171.6277.9216.8182.910.757.7258.0305.986.5
                    Changes in balance sheet account
70Change in net worth ((lines 17+23)/4 + lines
    56+69) (4)
173.4207.7267.4146.3228.2339.8337.5221.2207.6324.8183.9204.7287.1221.1190.512.969.8263.3316.697.7
                       Balance sheet account (end
                         of period)
71Total assets13,120.013,391.013,718.913,926.614,196.314,583.714,967.915,237.415,533.015,952.916,231.616,535.816,909.917,235.817,500.417,640.717,811.618,163.418,580.718,765.2
72Nonfinancial assets9,119.59,315.19,567.79,700.39,893.810,205.010,513.210,706.610,891.711,201.111,369.111,562.411,864.612,105.112,310.512,339.612,416.812,694.013,019.013,124.6
73      Real estate7,874.98,065.58,303.48,433.68,618.18,918.89,210.49,394.79,545.59,843.910,014.510,205.210,500.610,734.910,949.210,983.211,046.811,321.411,654.211,746.9
74         Residential (5)4,511.74,640.34,761.54,848.04,965.35,132.95,286.25,396.95,530.35,708.65,822.75,863.55,984.26,193.06,329.56,393.96,548.56,772.56,893.96,944.9
75         Nonresidential3,363.23,425.23,541.93,585.63,652.83,785.93,924.23,997.84,015.24,135.34,191.84,341.74,516.44,541.84,619.74,589.34,498.34,549.04,760.34,802.1
76      Equipment751.5756.7765.9772.6780.9790.8807.0810.7824.7833.8832.5838.1845.6852.3854.0860.5864.6869.4877.3882.1
77         Residential44.544.744.444.444.243.943.643.543.542.943.142.842.843.043.143.143.143.543.343.2
78         Nonresidential707.0712.0721.5728.3736.8746.9763.4767.2781.1790.9789.5795.4802.9809.3811.0817.4821.4825.9833.9838.9
79      Intellectual property products201.4204.3206.5204.7206.8210.6213.0214.3220.6223.9224.7222.8228.5232.4234.4232.3238.5240.7239.5239.8
80      Inventories291.7288.5291.9289.3288.0284.9282.8286.8300.9299.4297.4296.3289.9285.5272.9263.6267.0262.6248.0255.8
81   Financial assets4,000.64,075.94,151.14,226.34,302.54,378.64,454.74,530.84,641.34,751.84,862.54,973.45,045.35,130.75,189.95,301.15,394.85,469.45,561.85,640.6
82      Currency and deposits935.9953.2970.6987.8993.7999.61,005.51,011.31,032.51,053.71,075.01,096.31,111.51,129.61,142.01,165.81,186.11,202.11,222.11,239.1
83         Currency and transferable deposits571.1586.0600.8615.5618.5621.5624.5627.5644.8662.1679.4696.8705.7716.5723.8738.1750.6760.4772.7783.1
84         Time and savings deposits364.8367.3369.8372.3375.2378.1381.0383.8387.8391.7395.6399.5405.8413.1418.3427.7435.5441.7449.4456.0
85      Debt securities55.856.958.059.059.159.359.459.559.960.460.861.262.263.364.165.566.767.768.969.9
86         Treasury securities49.950.951.952.953.554.054.655.255.756.256.757.258.159.159.961.262.363.264.365.3
87         Municipal securities5.96.06.06.15.75.24.84.44.34.24.14.04.14.24.24.34.44.54.54.6
88      Loans35.735.134.533.934.134.434.634.834.834.734.634.535.035.636.136.937.638.138.839.3
89         Short term (consumer credit)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
90         Long term (mortgages)35.735.134.533.934.134.434.634.834.834.734.634.535.035.636.136.937.638.138.839.3
91      Equity and investment fund shares85.586.287.087.888.389.189.890.491.492.393.294.195.597.298.5100.7102.4104.1106.1107.5
92         Money market mutual fund shares78.479.279.980.781.281.782.282.783.484.284.985.687.088.589.791.793.394.796.397.7
93         Equity in government-sponsored
             enterprises (2)
7.17.07.17.27.17.47.67.78.08.18.38.58.68.78.89.09.19.59.79.7
94      Insurance, pension and standardized
          guarantee schemes (3)
129.9134.1137.8142.5135.4129.5123.1116.4118.9122.7126.3129.1125.8123.8121.9118.9118.0117.4117.3115.9
95      Other accounts receivable2,757.82,810.52,863.42,915.32,991.83,066.83,142.33,218.33,303.73,388.13,472.73,558.13,615.33,681.13,727.23,813.33,884.13,939.94,008.64,068.9
96         Trade receivables595.5596.6597.8598.9611.1623.3635.6647.8653.1658.4663.6668.9679.4691.7700.3716.1729.2739.6752.5763.5
97         Other (miscellaneous assets)2,162.32,213.82,265.62,316.42,380.62,443.52,506.72,570.52,650.72,729.82,809.02,889.22,935.92,989.43,026.93,097.13,154.93,200.33,256.13,305.4
98Total liabilities and net worth13,120.013,391.013,718.913,926.614,196.314,583.714,967.915,237.415,533.015,952.916,231.616,535.816,909.917,235.817,500.417,640.717,811.618,163.418,580.718,765.2
99   Liabilities5,699.65,762.95,823.35,884.75,926.25,973.76,020.56,068.76,156.86,251.96,346.76,446.16,533.16,638.06,712.16,839.56,940.57,029.17,129.87,216.6
100      Loans3,925.73,971.14,013.74,057.54,075.44,103.94,130.84,162.14,225.14,295.54,366.44,443.34,502.54,585.44,645.34,749.84,828.84,900.74,982.15,058.0
101         Short term1,087.51,109.21,128.21,148.61,147.41,156.81,164.71,176.91,193.81,218.11,242.81,273.01,292.81,322.71,334.51,374.71,405.91,423.91,435.31,449.8
102            Depository institution loans n.e.c.914.5934.5951.2968.0967.5976.3983.4990.31,006.41,030.01,052.71,077.01,098.81,127.11,136.81,175.01,208.21,223.71,237.81,247.5
103            Other loans and advances172.9174.6177.0180.6180.0180.5181.3186.6187.4188.1190.0196.0194.1195.6197.7199.7197.7200.2197.5202.3
104         Long term (mortgages)2,838.22,861.92,885.52,908.92,928.02,947.12,966.12,985.13,031.33,077.33,123.63,170.33,209.63,262.63,310.83,375.03,422.83,476.73,546.83,608.3
105      Equity and investment fund shares (direct
          investment in the U.S.)
6.26.76.76.36.46.36.77.16.66.97.09.210.110.610.711.912.213.214.112.8
106      Other accounts payable1,767.81,785.11,803.01,820.91,844.41,863.61,882.91,899.61,925.01,949.41,973.31,993.52,020.62,042.02,056.02,077.92,099.62,115.32,133.52,145.7
107         Trade payables485.2487.7490.7493.8506.1514.0522.1527.5531.8535.0537.6536.7552.6565.3573.4589.1605.5616.1629.0636.0
108         Taxes payable101.6103.5105.5107.4108.1108.9109.7110.5112.2114.0115.7117.4118.1119.0119.7120.8121.8122.6123.5124.3
109         Other (miscellaneous liabilities)1,180.91,193.81,206.81,219.71,230.21,240.61,251.11,261.51,281.01,300.51,320.01,339.41,349.81,357.61,362.91,367.91,372.31,376.61,381.01,385.4
110   Net worth7,420.47,628.17,895.68,041.98,270.18,609.98,947.49,168.69,376.29,701.19,885.010,089.710,376.810,597.910,788.410,801.210,871.111,134.411,451.011,548.6
       Footnotes


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