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Integrated Macroeconomic Accounts for the United States Table

S.5.q Nonfinancial Corporate Business
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 2/22/2017   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 added7,927.87,990.47,982.88,146.58,217.48,289.68,322.68,391.28,476.98,648.28,804.38,886.18,944.78,968.69,041.99,080.29,076.99,121.59,289.6
2Less: Consumption of fixed capital1,170.31,182.01,192.11,200.41,209.21,222.31,233.51,247.61,260.21,274.91,291.21,304.81,313.81,321.51,336.51,346.61,356.41,367.71,374.6
3Equals: Net value added6,757.56,808.46,790.76,946.17,008.17,067.37,089.17,143.57,216.77,373.47,513.07,581.37,630.97,647.17,705.37,733.67,720.57,753.87,915.0
4   Compensation of employees (paid)4,539.14,564.14,580.84,689.24,681.14,741.64,770.24,805.84,933.04,960.95,020.45,083.65,173.65,234.85,279.65,351.35,333.35,426.55,498.9
5      Wages and salaries3,781.83,802.33,816.13,905.33,898.83,948.63,972.24,001.54,126.44,149.54,198.64,250.94,340.84,391.54,428.74,488.14,467.44,548.44,611.0
6      Employers' social contributions757.3761.7764.7783.9782.3793.0798.0804.3806.6811.4821.7832.7832.8843.3850.9863.2865.9878.1887.9
7   Taxes on production and imports less subsidies688.2688.7687.7696.9716.3718.3724.4727.1727.1735.7742.5747.9748.3753.2755.4760.0761.3759.3766.5
8   Operating surplus, net1,530.21,555.71,522.21,560.01,610.81,607.41,594.51,610.61,556.61,676.71,750.11,749.91,709.01,659.11,670.31,622.31,625.91,568.01,649.6
9Net national income/Balance of primary incomes,
    net
914.1916.7899.4938.81,002.71,022.11,023.61,032.1984.41,044.81,072.71,052.91,007.4963.0959.4927.1929.1896.0942.7
10   Operating surplus, net1,530.21,555.71,522.21,560.01,610.81,607.41,594.51,610.61,556.61,676.71,750.11,749.91,709.01,659.11,670.31,622.31,625.91,568.01,649.6
11   Property income received, net-616.1-638.9-622.8-621.1-608.1-585.4-570.9-578.5-572.2-631.9-677.5-697.0-701.5-696.1-710.9-695.3-696.8-672.0-707.0
12Net national income/Balance of primary incomes,
    net
914.1916.7899.4938.81,002.71,022.11,023.61,032.1984.41,044.81,072.71,052.91,007.4963.0959.4927.1929.1896.0942.7
13Less: Current taxes on income, wealth, etc. (paid)265.8260.9259.8280.3282.4280.4282.1289.4305.2320.7321.1307.6326.5322.1306.1277.6312.7321.4331.3
14Less: Other current transfers (paid)97.493.889.095.495.595.992.994.493.491.390.088.684.983.983.7166.285.185.085.6
15Equals: Disposable income, net550.9562.1550.6563.1624.7645.7648.6648.3585.7632.8661.6656.7596.1557.0569.6483.2531.3489.6525.8
16Equals: Net saving550.9562.1550.6563.1624.7645.7648.6648.3585.7632.8661.6656.7596.1557.0569.6483.2531.3489.6525.8
                                              
                                                 Capital account
17Net saving less capital transfers557.4569.9559.8607.6634.4651.5653.1651.1593.1639.6666.0664.8599.1561.4573.3485.1533.0491.2527.4
18   Net saving550.9562.1550.6563.1624.7645.7648.6648.3585.7632.8661.6656.7596.1557.0569.6483.2531.3489.6525.8
19   Less: Capital transfers paid (net)-6.5-7.8-9.2-44.5-9.6-5.8-4.5-2.9-7.4-6.9-4.3-8.1-3.0-4.4-3.7-1.9-1.7-1.6-1.6
20Capital formation, net301.0350.1337.3292.7310.9322.5381.4392.4363.3400.1425.9420.4448.6540.6394.8360.3315.6287.1260.1
        Gross fixed capital formation (acquisition
          of
21   produced nonfinancial assets)1,408.81,445.01,445.41,460.61,467.81,492.81,512.41,546.91,590.31,617.91,644.91,649.11,652.51,650.31,664.91,650.81,631.81,632.51,627.0
22   Less: Consumption of fixed capital1,170.31,182.01,192.11,200.41,209.21,222.31,233.51,247.61,260.21,274.91,291.21,304.81,313.81,321.51,336.51,346.61,356.41,367.71,374.6
23   Acquisition of nonproduced nonfinancial assets0.40.10.12.50.81.82.70.20.40.95.50.4-0.3120.5-0.2-0.3-0.631.91.1
24   Change in private inventories62.287.083.930.051.550.299.892.932.856.266.775.8110.291.366.656.540.8-9.56.6
25Net lending (+) or borrowing (-), capital
    account (lines 17-20)
256.4219.8222.5314.9323.5329.1271.7258.7229.7239.5240.1244.5150.520.8178.6124.8217.4204.1267.3
                                         Financial
                                           account
26Net lending (+) or borrowing (-) (line 25)256.4219.8222.5314.9323.5329.1271.7258.7229.7239.5240.1244.5150.520.8178.6124.8217.4204.1267.3
27Net acquisition of financial assets425.3684.6508.7406.71,161.7941.0820.81,034.9850.1929.61,004.4910.7941.41,091.2762.6849.81,005.21,209.31,162.5
28   Currency and deposits-166.1-74.9126.567.680.53.1290.7191.6-73.2218.7-35.342.3-179.799.0-31.2-155.0-70.6246.3357.4
29      Currency and transferable deposits-208.7-50.364.312.615.5-77.2171.5144.142.440.3122.850.2-158.1208.3-13.9-95.6-18.7181.7144.3
30      Time and savings deposits53.5-10.345.044.9-10.742.5119.6-8.0-79.5132.5-132.97.948.9-133.015.2-55.2-9.518.1173.7
31      Foreign deposits-10.9-14.317.210.275.637.9-0.555.5-36.145.9-25.3-15.8-70.623.7-32.5-4.1-42.546.539.4
32   Debt securities-90.419.840.1-19.3-95.427.75.39.758.5-5.4-8.61.6-21.9-13.6-18.326.232.0-4.2114.7
33      Open market paper-32.4-2.412.9-11.5-9.8-9.2-8.30.918.0-14.03.57.25.05.5-7.7-9.90.826.19.7
34      Treasury securities-47.137.513.4-18.0-29.919.41.26.824.5-1.1-5.4-6.5-30.0-11.4-3.921.633.6-40.520.4
35      Agency- and GSE-backed securities (1)-15.72.54.54.0-30.06.50.46.316.17.6-1.8-2.2-10.0-3.8-1.37.211.26.56.8
36      Municipal securities4.8-17.89.46.2-25.711.012.1-4.3-0.22.1-4.93.213.1-3.9-5.57.3-13.63.877.8
37   Loans11.6-7.1-8.0-11.7-16.0-2.920.7-17.818.110.039.7-4.611.18.617.7-8.7-10.1-3.16.7
38      Short term (security repos and consumer
          credit)
13.5-5.2-6.1-9.9-17.6-4.519.2-19.416.28.137.8-6.69.26.715.8-10.7-12.1-5.14.7
39      Long term (mortgages)-1.9-1.9-1.9-1.91.51.61.61.61.91.92.02.01.91.91.91.91.91.91.9
40   Equity and investment fund shares548.8199.9331.7426.9281.4379.8363.2393.145.7281.7411.1547.8280.5294.4227.3472.6246.5298.0339.6
41      Money market fund shares180.2-62.322.987.5-23.5-17.1113.785.7-214.8-20.571.6160.0-51.93.850.272.2-8.89.7-7.2
42      Mutual fund shares-1.7-1.7-1.7-1.71.21.21.21.215.215.215.215.27.47.47.47.47.47.47.4
43      U.S. direct investment abroad369.7275.0311.5319.4247.3391.2247.6308.7177.9292.0330.9371.7332.3299.4171.2384.0270.6280.1353.7
44      Equity in government-sponsored enterprises
          (1)
0.4-0.30.00.00.3-0.20.00.10.6-0.20.00.10.3-0.10.00.10.40.1-0.2
45      Investment in finance company subsidiaries0.2-10.7-1.021.856.14.70.8-2.666.9-4.8-6.50.7-7.6-16.1-1.68.8-23.00.7-14.0
46   Insurance, pension and standardized guarantee
       schemes (2)
-5.98.26.623.1-11.91.4-4.8-8.96.417.815.51.7-5.58.711.9-5.76.411.015.7
47   Other accounts receivable127.2538.611.7-79.9923.0531.9145.6467.3794.6406.8581.9321.8856.9694.0555.1520.4801.0661.4328.5
48      Trade receivables69.84.1113.722.6343.8290.7238.4173.493.2121.7109.392.215.3-0.5-46.2-52.8-46.8225.2197.7
49      Other (miscellaneous assets)57.5534.5-102.0-102.6579.2241.2-92.8294.0701.4285.1472.5229.6841.6694.5601.4573.2847.9436.1130.8
50Net incurrence of liabilities862.1983.81,107.8987.9931.7782.9916.11,075.81,309.11,296.31,368.51,555.6876.6913.4778.1948.0964.31,078.3870.2
51   Debt securities344.9256.4363.4446.1341.5152.5519.9162.0360.2289.9228.8357.0407.9585.1406.4226.4574.2333.6231.1
52      Open market paper-7.929.0-35.570.520.1-20.192.0-35.274.557.321.7-3.7-61.2-53.270.322.533.912.3-135.3
53      Municipal securities7.525.89.19.611.34.3-1.3-1.3-3.3-13.96.210.621.424.115.5-7.013.029.924.7
54      Corporate bonds345.3201.5389.7366.0310.0168.3429.2198.6289.0246.4200.9350.2447.7614.2320.6210.9527.3291.3341.7
55   Loans-120.1-86.8-82.1100.3-35.5211.1110.0130.360.61.6237.090.7227.051.227.132.4318.6-96.3298.3
56      Short term54.757.232.9126.857.2215.962.0126.6154.935.1224.3118.8202.912.6-3.3-23.7289.3-149.8221.8
57         Depository institution loans n.e.c.138.094.572.2101.244.775.395.679.516.9111.754.398.0123.550.097.641.5157.27.9119.9
58         Other loans and advances-83.3-37.3-39.225.612.5140.6-33.647.1138.0-76.6170.020.879.5-37.4-100.9-65.2132.1-157.7102.0
59      Long term (mortgages)-174.8-144.1-115.0-26.5-92.7-4.848.03.7-94.3-33.512.7-28.124.038.630.456.029.453.576.4
60   Equity and investment fund shares-51.0-221.2-204.4-175.4-128.6-157.8-125.7-295.6-890.9-1.8-23.5-53.0172.4-200.9-464.4-479.0-447.9-76.5-407.3
61      Corporate equities-236.7-428.3-349.3-365.4-213.7-371.2-344.1-482.7-510.9-276.1-434.7-356.3-591.4-489.0-627.2-544.7-626.9-655.3-686.9
62      Foreign direct investment in the United
          States
185.7207.2144.9189.985.1213.4218.4187.1-380.1274.3411.1303.4763.8288.1162.765.8179.0578.8279.6
63   Insurance, pension and standardized guarantee
       schemes
-2.1-10.3-19.1-28.2115.2108.1102.498.785.283.381.679.863.866.264.655.7-1.820.615.2
64      Pension fund contributions payable-12.3-12.3-12.3-12.3-2.5-2.5-2.5-2.5-2.9-2.9-2.9-2.9-5.6-3.9-4.4-3.5-1.1-2.0-2.3
65      Claim of pension fund on sponsor10.22.0-6.8-15.9117.7110.5104.9101.188.086.284.582.769.470.068.959.2-0.822.617.5
66   Other accounts payable690.41,045.71,050.0645.1639.2469.0309.5980.51,694.1923.3844.61,081.05.6411.9744.51,112.4521.2897.0732.9
67      Trade payables61.268.996.934.7114.6104.0131.755.0176.8133.3114.4176.813.156.3-107.4-126.6-48.7200.6179.6
68      Taxes payable2.117.0-9.4-0.4-12.0-25.0-6.57.1-10.34.517.8-17.523.316.0-10.7-35.7-37.8-9.161.2
69      Miscellaneous liabilities627.1959.8962.4610.9536.5390.0184.2918.41,527.6785.5712.4921.7-30.8339.6862.61,274.8607.7705.5492.1
  Addendum:
70Net lending (+) or borrowing (-), financial
    account (lines 27-50)
-436.7-299.1-599.1-581.2229.9158.1-95.4-40.9-459.0-366.7-364.1-645.064.8177.8-15.5-98.240.9131.0292.4
                       Other changes in volume
                         account
71Total other volume changes-174.476.9-175.0-134.072.483.8-70.260.758.8-98.441.0-90.127.0166.9235.288.882.6171.3180.3
72   Disaster losses0.00.00.0-6.90.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
73   Other volume changes30.5193.829.065.4137.2116.524.8104.4260.834.5200.6115.6112.8111.3301.5133.6187.3157.6176.1
74   Less: Statistical discrepancy ((lines
       25-70)/4) (3)
213.6114.1208.6196.165.325.894.946.8215.4134.1153.9193.865.5-57.351.426.989.3-0.3-3.6
75   Less: Inventory valuation adjustment-8.72.8-4.6-3.6-0.56.90.0-3.0-13.4-1.25.711.920.31.714.917.815.3-13.4-0.5
                                           
                                              Revaluation account
76   Nonfinancial assets17.357.5361.3105.9167.4467.3509.3254.765.3433.0243.7338.8371.7180.2258.5202.639.1284.0318.2
77      Real estate11.971.1318.596.6167.0452.4481.0234.226.6423.1242.5351.9372.5170.1280.6220.211.6224.2309.3
78      Equipment8.7-4.53.65.88.39.617.8-6.77.210.53.57.09.3-6.7-6.1-6.43.11.412.5
79      Intellectual property products13.57.57.1-8.2-1.310.011.720.77.02.66.08.314.910.23.7-2.610.912.02.1
80      Inventories-16.7-16.632.011.8-6.6-4.7-1.16.524.6-3.2-8.3-28.4-25.06.6-19.7-8.613.546.4-5.8
81   Financial assets-30.36.063.832.5-103.7-8.459.339.3-19.848.1-44.2-42.9-45.4-16.9-58.89.627.2-2.98.6
82      Mutual fund shares13.2-6.06.22.09.01.48.711.22.87.2-3.51.94.7-0.8-15.75.60.54.18.6
83      Direct investment abroad-43.512.057.630.5-112.7-9.850.628.1-22.641.0-40.6-44.8-50.1-16.1-43.14.026.7-7.10.0
84   Liabilities1,588.5-406.8830.0-159.41,893.4251.91,105.71,723.7528.61,081.8-76.9849.9425.7-244.2-1,780.31,093.7261.1493.7599.7
85      Corporate equity1,771.0-469.7891.4-154.12,020.7296.11,198.01,819.9478.71,150.0-70.7950.5538.0-235.0-1,896.71,155.7261.5539.4654.5
86      Foreign direct investment in the United
          States
-32.413.213.2-6.84.2-20.7-10.731.674.5-3.4-19.5-43.3-87.9-14.81.94.93.7-17.00.0
87      Insurance, pension and standardized
          guarantee schemes
-150.149.8-74.51.6-131.5-23.5-81.5-127.8-24.5-64.813.3-57.3-24.45.6114.6-66.9-4.1-28.7-54.9
88Changes in net worth due to nominal holding
    gains/losses
-1,601.5470.2-405.0297.9-1,829.7207.0-537.1-1,429.7-483.2-600.7276.4-554.0-99.4407.61,980.0-881.5-194.8-212.7-272.9
                    Changes in balance sheet account
89Change in net worth ((lines 20+25)/4 + lines
    71+88) (4)
-1,636.5689.6-440.0315.7-1,598.7453.8-444.1-1,206.2-276.0-539.2483.9-477.977.4714.82,358.6-671.521.181.439.2
                       Balance sheet account (end
                         of period)
90Total assets30,737.931,039.331,639.531,941.132,481.333,275.434,121.834,829.035,181.135,993.936,584.337,309.237,970.838,534.639,001.839,570.339,913.240,613.041,317.2
91   Nonfinancial assets (5)16,097.616,235.316,678.416,852.717,083.117,612.118,219.018,568.318,738.719,265.819,608.920,034.820,492.120,768.021,119.421,397.321,528.221,889.622,269.4
92      Real estate8,260.88,348.58,681.58,793.98,963.99,428.89,942.110,199.010,263.410,717.510,994.811,377.211,774.811,965.212,280.212,524.512,583.012,823.413,145.1
93      Equipment4,046.44,073.44,105.84,139.44,179.24,218.94,262.94,287.44,324.94,367.34,407.64,446.74,492.34,521.34,553.94,584.34,618.64,648.54,687.1
94      Intellectual property products1,773.21,793.91,814.01,819.41,833.11,856.61,882.31,917.41,939.91,958.41,981.22,007.02,038.82,067.62,089.42,105.02,134.72,168.42,191.5
95      Inventories2,017.22,019.52,077.12,100.02,106.92,107.92,131.72,164.42,210.52,222.62,225.32,203.92,186.12,213.92,195.92,183.52,192.02,249.42,245.8
96   Financial assets14,640.314,804.014,961.215,088.415,398.215,663.315,902.816,260.716,442.516,728.116,975.317,274.417,478.717,766.617,882.418,173.018,385.018,723.419,047.8
97      Currency and deposits820.5801.8833.5850.4870.5871.3944.0991.8973.51,028.21,019.41,030.0985.01,009.81,002.0963.2945.61,007.21,096.5
98            Currency and transferable deposits213.1200.6216.6219.8223.7204.4247.3283.3293.9303.9334.6347.2307.7359.7356.3332.4327.7373.1409.2
99            Time and savings deposits575.3572.8584.0595.2592.6603.2633.1631.1611.2644.3611.1613.1625.3592.1595.9582.1579.7584.2627.6
100         Foreign deposits32.128.532.835.454.363.763.677.568.580.073.669.752.158.049.848.838.249.859.7
101      Debt securities123.4128.2137.5135.0110.3115.9117.1121.8136.0132.8130.5133.3127.6122.1117.5126.5134.5130.9159.7
102         Open market paper58.357.660.059.556.252.650.352.956.951.652.356.557.556.854.954.855.159.061.5
103         Treasury securities31.240.643.939.432.036.837.138.844.944.743.341.734.231.330.435.844.234.039.1
104         Agency- and GSE-backed securities (1)10.411.012.113.15.77.37.48.913.014.914.413.911.410.410.111.914.716.318.0
105         Municipal securities23.519.021.422.916.519.222.321.221.121.720.421.224.523.522.224.020.621.541.0
106      Loans86.986.884.283.376.977.081.879.381.785.394.195.195.098.7102.5102.397.797.298.1
107         Short term59.960.358.257.751.050.755.152.254.257.265.566.065.568.772.071.366.265.265.6
108            Security repurchases13.913.811.29.79.28.612.58.711.313.621.121.722.323.927.027.724.523.323.4
109            Consumer credit46.046.547.048.041.742.142.643.442.843.644.444.443.244.845.043.641.741.942.2
110         Long term (mortgages)27.026.526.025.525.926.326.727.127.628.128.629.029.530.030.531.031.532.032.4
111      Equity and investment fund shares4,571.44,635.34,798.44,905.94,881.54,976.25,138.05,246.75,244.25,366.25,437.05,509.65,537.75,597.95,606.65,716.95,808.15,883.65,987.5
112         Money market fund shares507.4491.9497.6519.4513.6509.3537.7559.1505.4500.3518.2558.2545.3546.2558.8576.8574.6577.0575.2
113         Mutual fund shares178.7172.2178.0179.6188.8190.6199.5211.0217.6228.6228.8234.5241.1242.1228.3235.7238.1244.1254.5
114         U.S. direct investment abroad3,815.53,904.24,056.14,134.74,092.84,188.94,313.14,389.54,417.34,534.74,588.94,615.64,651.94,714.24,724.64,807.24,903.94,970.85,069.6
115         Equity in government-sponsored
             enterprises (1)
0.60.60.60.60.60.60.60.60.80.70.70.70.80.80.80.80.91.00.9
116         Investment in finance company
             subsidiaries
69.266.566.271.785.786.987.186.4103.1101.9100.3100.598.694.594.296.490.690.887.3
117      Insurance, pension and standardized
          guarantee schemes (2)
329.5331.6333.2339.0336.0336.4335.2333.0334.6339.0342.9343.3341.9344.1347.1345.7347.3350.0353.9
118      Other accounts receivable8,708.68,820.38,774.48,774.89,123.09,286.49,286.89,488.19,672.49,776.69,951.510,163.110,391.510,594.010,706.710,918.411,051.811,254.411,352.1
119         Trade receivables2,308.02,351.52,370.02,293.22,427.32,543.82,593.92,554.82,624.62,699.92,718.62,658.92,709.22,754.12,733.82,637.92,670.62,774.32,815.3
120         Other (miscellaneous assets)6,400.76,468.86,404.46,481.66,695.76,742.66,692.96,933.37,047.87,076.67,232.97,504.27,682.27,839.97,972.98,280.68,381.18,480.28,536.8
121Total liabilities and net worth30,737.931,039.331,639.531,941.132,481.333,275.434,121.834,829.035,181.135,993.936,584.337,309.237,970.838,534.639,001.839,570.339,913.240,613.041,317.2
122   Liabilities29,641.229,253.030,293.330,279.132,418.032,758.334,048.835,962.236,590.437,942.438,048.839,251.739,835.839,684.937,793.439,033.539,355.339,973.640,638.6
123      Debt securities4,263.64,328.54,428.54,517.64,607.44,661.14,788.44,811.64,918.74,985.85,055.35,120.65,244.45,396.45,500.75,527.05,671.65,756.45,835.6
124         Open market paper127.6132.1136.0130.3140.1147.2171.2144.5180.2185.8207.1182.0188.2177.5201.2176.5185.5186.9177.9
125         Municipal securities514.5524.5523.2526.5529.0533.4529.5529.7528.9528.7526.8529.6535.2544.4544.8543.1546.9557.5560.3
126         Corporate bonds3,621.53,671.93,769.33,860.83,938.33,980.44,087.74,137.44,209.64,271.24,321.54,409.04,520.94,674.54,754.64,807.44,939.25,012.05,097.4
127      Loans2,176.12,161.02,181.22,226.72,204.52,266.92,278.32,315.22,317.32,330.02,364.52,413.12,456.92,483.62,468.72,499.22,566.22,558.32,608.2
128         Short term1,627.01,649.81,699.41,749.01,750.51,815.41,815.81,848.91,875.41,897.31,935.21,982.12,020.92,038.52,017.92,031.02,091.92,070.82,103.9
129            Depository institution loans n.e.c.634.4662.3671.4712.1713.4739.0749.5785.8780.0816.3813.9856.0876.4898.3905.5935.8964.5977.3987.8
130            Other loans and advances992.6987.51,028.01,036.91,037.11,076.31,066.21,063.11,095.41,081.01,121.41,126.21,144.51,140.21,112.41,095.21,127.41,093.51,116.1
131         Long term (mortgages)549.1511.1481.8477.7454.0451.5462.5466.2441.9432.7429.3431.0436.0445.0450.8468.3474.3487.5504.3
132      Equity and investment fund shares17,846.917,338.218,194.117,983.419,977.320,216.721,372.723,145.523,475.524,625.024,528.625,420.025,912.425,615.323,604.624,643.124,795.225,301.525,854.3
133         Corporate equity15,601.815,025.015,829.015,583.617,550.817,754.218,866.120,565.320,916.321,997.321,818.022,679.323,069.522,712.320,658.721,678.321,783.122,158.722,641.5
134         Foreign direct investment in the United
             States
2,245.12,313.22,365.12,399.82,426.52,462.52,506.62,580.22,559.22,627.72,710.72,740.62,842.92,903.02,945.82,964.83,012.13,142.93,212.8
135      Insurance, pension and standardized
          guarantee schemes
473.0532.5465.5472.3390.6415.2380.4298.4323.1307.1368.9359.6380.6432.1592.3568.7593.6599.5577.8
136         Pension fund contributions payable90.787.684.581.480.880.279.679.078.377.576.876.174.773.772.771.871.571.070.4
137         Claim of pension fund on sponsor382.3444.9381.0390.9309.8335.0300.8219.4244.8229.6292.0283.5305.9358.4519.6497.0522.0528.4507.3
138      Other accounts payable4,881.74,892.95,024.05,079.15,238.15,198.45,229.05,391.65,555.95,694.55,731.45,938.45,841.55,757.55,627.25,795.45,728.75,758.05,762.7
139         Trade payables1,775.51,804.11,825.51,837.01,854.51,892.71,922.31,938.31,971.02,018.12,042.72,088.72,080.92,108.82,077.62,047.52,024.22,089.32,129.2
140         Taxes payable62.060.361.254.060.448.149.744.951.346.454.243.558.156.156.841.740.732.451.2
141         Miscellaneous liabilities3,044.13,028.63,137.43,188.23,323.33,257.63,257.03,408.43,533.63,629.93,634.63,806.33,702.53,592.63,492.93,706.23,663.83,636.33,582.3
142   Net worth1,096.71,786.21,346.31,662.063.3517.173.0-1,133.2-1,409.3-1,948.5-1,464.5-1,942.4-1,865.0-1,150.21,208.3536.8557.9639.4678.6
       Footnotes


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