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Integrated Macroeconomic Accounts for the United States Table

S.6.q Financial Business (1)
[Billions of Dollars]   Seasonally adjusted at annual rates
Today is: 10/22/2017   Last Revised on September 27, 2017 

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

Line      2008   
I
   2008   
II
   2008   
III
   2008   
IV
   2009   
I
   2009   
II
   2009   
III
   2009   
IV
   2010   
I
   2010   
II
   2010   
III
   2010   
IV
   2011   
I
   2011   
II
   2011   
III
   2011   
IV
   2012   
I
   2012   
II
   2012   
III
   2012   
IV
                                              
                                                 Current account
1Gross value added999.7944.2802.3661.7889.81,030.61,080.81,060.31,010.21,005.61,052.81,102.51,056.61,016.01,014.21,096.41,156.41,176.81,208.61,207.3
2Less: Consumption of fixed capital170.6173.1175.4176.4176.4176.9176.9179.3179.4177.8175.9173.5170.3168.4167.7168.1170.8173.6175.5177.0
3Equals: Net value added829.1771.0626.9485.2713.3853.7903.9881.0830.8827.8876.9929.0886.3847.6846.5928.3985.61,003.21,033.11,030.3
4   Compensation of employees (paid)637.0610.8611.1592.8520.0558.9555.9561.1549.4581.3577.3589.2615.3600.3616.0595.7595.2629.1625.3671.2
5   Taxes on production and imports less subsidies55.055.055.856.760.863.365.467.165.165.465.063.658.658.357.758.660.159.860.360.6
6   Operating surplus, net137.1105.3-40.0-164.3132.5231.5282.6252.7216.3181.1234.6276.3212.4189.1172.8274.0330.4314.4347.5298.5
7Net national income/Balance of primary incomes,
    net
46.976.948.5-180.6111.6242.4396.5409.6398.3336.4376.4396.2285.6301.6300.3392.5406.5337.7339.075.5
8   Operating surplus, net137.1105.3-40.0-164.3132.5231.5282.6252.7216.3181.1234.6276.3212.4189.1172.8274.0330.4314.4347.5298.5
9   Property income received, net-90.2-28.488.5-16.3-20.810.9114.0156.9182.0155.3141.8119.973.1112.5127.5118.576.223.3-8.5-222.9
10Net national income/Balance of primary incomes,
    net
46.976.948.5-180.6111.6242.4396.5409.6398.3336.4376.4396.2285.6301.6300.3392.5406.5337.7339.075.5
11Less: Current taxes on income, wealth, etc. (paid)107.291.357.270.947.378.7115.0125.4136.0131.5158.1174.4177.7157.6115.4150.5176.9189.0191.2166.7
12Less: Other current transfers (paid)40.644.545.152.336.130.919.819.221.018.119.315.233.021.219.26.6-13.1-22.0-28.9-39.0
13Equals: Disposable income, net-100.9-59.0-53.8-303.828.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4242.7170.6176.7-52.1
14Equals: Net saving-100.9-59.0-53.8-303.828.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4242.7170.6176.7-52.1
                                              
                                                 Capital account
15Net saving less capital transfers-100.9-59.0-82.5-33.1251.1270.1310.3343.8304.4264.1213.8217.587.3157.1193.4290.6261.6170.7176.7-109.4
16   Net saving-100.9-59.0-53.8-303.828.2132.8261.7264.9241.4186.9198.9206.774.8122.8165.8235.4242.7170.6176.7-52.1
17   Less: Capital transfers paid (net)0.00.028.7-270.7-222.9-137.3-48.6-78.9-63.0-77.2-14.9-10.8-12.5-34.3-27.7-55.1-18.9-0.10.057.3
18Capital formation, net36.330.422.6-0.1-11.0-10.1-11.0-10.1-16.5-16.1-12.1-10.9-8.8-6.22.67.716.917.116.321.2
19   Gross fixed capital formation (nonresidential)206.9203.5198.1176.3165.4166.8165.9169.3162.9161.7163.9162.6161.5162.3170.3175.8187.7190.7191.7198.2
20   Less: Consumption of fixed capital170.6173.1175.4176.4176.4176.9176.9179.3179.4177.8175.9173.5170.3168.4167.7168.1170.8173.6175.5177.0
21Net lending (+) or borrowing (-), capital
    account (lines 15-18)
-137.2-89.4-105.1-33.0262.2280.2321.3353.9320.9280.2225.9228.496.0163.3190.8282.9244.7153.6160.5-130.6
                                         Financial
                                           account
22Net lending (+) or borrowing (-) (line 21)-137.2-89.4-105.1-33.0262.2280.2321.3353.9320.9280.2225.9228.496.0163.3190.8282.9244.7153.6160.5-130.6
23Net acquisition of financial assets6,245.51,138.04,709.93,385.0-2,106.3-2,316.7-199.7-831.9373.7-1,283.41,326.263.64,167.22,705.7402.0439.61,229.0329.01,510.42,858.5
24   Monetary gold0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
25   Currency and deposits441.5237.3923.92,432.5-126.2-309.9740.5496.7-2.8-594.5-121.271.31,901.7843.7-311.9-370.5-248.5-266.9-111.4466.8
26   Debt securities1,265.6125.5410.4359.2273.21,874.4989.5336.31,164.6363.41,282.8368.31,459.8420.5524.01,153.71,912.5287.3809.1998.5
27      Open market paper66.9-191.5-369.1138.8-551.5-606.6-187.6-162.9-310.9-95.080.4-63.3107.9-28.6-283.3-104.1-31.9-4.5-57.5105.2
28      Treasury securities271.1-557.71,238.5958.795.81,177.2481.936.9798.1254.0336.3946.91,376.0426.11,245.3858.6909.3120.7409.3-78.0
29      Agency- and GSE-backed securities (2)604.11,041.0398.0668.91,187.8869.0215.7313.3347.9305.1-220.0-236.5-317.1-13.867.8456.1419.3112.1-234.5422.5
30      Municipal securities258.654.362.5-143.2-39.099.64.3-27.728.04.235.931.2-53.9-65.2-11.08.3133.393.2134.299.6
31      Corporate and foreign bonds64.9-220.7-919.6-1,264.0-419.9335.2475.2176.7301.5-104.91,050.2-310.1346.9102.0-494.8-65.3482.6-34.2557.6449.1
32   Loans2,468.8649.84,138.0-1,431.2-2,481.3-4,183.5-2,446.0-2,700.3-462.8-251.1-749.3-458.533.942.9575.743.7-106.1454.4484.4705.8
33      Short term1,853.8342.44,043.1-1,347.2-2,607.4-4,178.1-2,241.7-2,570.013.6-27.0-477.6-263.4223.3229.8767.1170.419.9542.9574.7670.6
34      Long term (mortgages)615.0307.594.8-84.0126.1-5.4-204.2-130.2-476.4-224.1-271.7-195.1-189.4-187.0-191.3-126.7-126.0-88.5-90.235.3
35   Equity and investment fund shares1,135.0781.9-20.82,262.916.2-837.849.4553.6-638.1130.4344.480.330.7187.86.7-85.4-153.4-155.1132.4471.1
36      Corporate equities210.5416.3405.5544.0-145.3-362.7174.5514.1-69.2378.4-57.0217.1-181.750.1427.5-204.5-17.393.6-89.1165.8
37      Mutual fund shares30.446.251.345.3129.947.7143.7141.5105.7127.258.0129.356.630.6-194.8-22.7-146.6-41.780.361.7
38      Money market mutual fund shares670.9-65.1-116.7765.12.1-346.3-245.6-196.7-536.6-254.2-0.160.9-96.3-58.4-258.1144.9-395.0-123.75.6189.3
39      Equity in government-sponsored enterprises
          (2)
-12.06.9-3.4-12.59.16.9-3.4-12.5-3.2-2.1-1.1-6.6-1.8-17.9-3.2-1.8-3.3-2.5-1.9-0.2
40      U.S. direct investment abroad69.841.356.698.233.827.778.222.96.826.540.7-83.116.237.512.8-5.837.714.613.116.5
41      Stock in Federal Reserve Banks4.41.31.83.15.96.82.72.92.51.50.3-0.6-0.90.8-1.93.61.30.50.10.0
42      Investment in subsidiaries161.1335.0-415.7819.7-19.3-217.9-100.681.3-144.0-146.9303.7-236.7238.7145.324.51.0370.0-95.8124.238.1
43   Insurance, pension and standardized guarantee
       schemes
-0.1105.2256.3233.6196.61,124.4507.3265.1335.1-79.2583.5390.5322.7986.3-727.6632.9199.582.6470.6215.3
44   Other accounts receivable934.7-761.7-997.9-472.015.215.8-40.4216.6-22.4-852.5-14.0-388.3418.3224.5334.9-934.8-375.1-73.3-274.71.0
45Net incurrence of liabilities6,065.61,100.75,041.73,971.8-964.4-3,005.5-110.8-323.9-32.2-1,152.51,030.2548.84,191.22,599.294.1650.31,017.0368.81,640.92,763.6
46   Currency and deposits289.516.93,529.84,281.5-520.1-296.51,041.41,006.8481.9-274.4157.01,063.73,152.81,930.1636.4198.7619.5399.5361.71,006.6
47   Debt securities730.51,092.1-132.8109.9-942.9-1,231.8-897.1-831.0-690.2-772.4-485.9-775.6-111.4-692.8-381.9-234.7-412.8-405.0-310.8-136.7
48      Agency- and GSE-backed securities (2)696.81,275.5683.2419.5104.6-188.3-129.5-27.1314.3-90.5-289.7-92.2227.9-298.12.6-20.9-150.624.8-17.247.9
49      Corporate bonds246.548.0-510.9-557.2-468.7-534.1-326.8-540.7-765.8-532.1-270.4-588.8-366.7-328.0-277.3-87.6-192.8-372.7-225.8-143.8
50      Commercial paper-212.8-231.3-305.1247.6-578.8-509.5-440.8-263.2-238.7-149.874.2-94.727.4-66.6-107.2-126.2-69.4-57.1-67.8-40.8
51   Loans1,604.1-858.52,268.0-3,654.3-1,834.3-1,782.7-1,076.9-1,883.4347.3-309.4-254.9-21.4273.2299.3573.9-337.7136.288.6218.769.9
52      Short term1,583.7-855.82,262.1-3,657.8-1,857.9-1,804.0-1,077.4-1,885.0353.3-305.6-269.8-19.8251.1277.0569.9-343.1131.689.6208.264.7
53      Long term (mortgages)20.4-2.65.93.423.721.30.41.7-6.0-3.914.9-1.722.222.33.95.44.7-1.010.55.2
54   Equity and investment fund shares2,289.51,036.9264.43,332.9676.5-24.2-166.2622.1-617.445.1778.2167.5659.2354.4-57.5543.3505.9358.6956.01,123.4
55      Money market mutual fund shares1,613.7-163.6119.21,416.7122.8-540.9-972.0-675.3-1,121.1-572.9-145.3-210.2-89.7-44.0-323.87.2-212.7-139.533.9327.1
56      Corporate equity issues357.7420.4456.91,480.1536.1200.1130.4348.440.6341.9205.0190.0104.0202.7263.6111.959.2124.0263.1210.9
57      Mutual fund shares31.8295.8-128.6-431.427.9587.7778.6739.4495.0253.1428.3407.2268.4273.50.2261.1378.6313.4484.3368.9
58      Equity in government-sponsored enterprises
          (2)
-10.07.2-2.8-11.36.87.2-2.8-11.3-3.1-1.90.4-6.4-1.6-17.7-2.9-1.6-2.6-3.2-1.50.0
59      Foreign direct investment in the United
          States
130.279.6126.6146.4-15.063.253.780.732.023.663.375.050.453.633.436.1-36.787.722.512.2
60      Equity in noncorporate business8.3-4.05.736.423.3-21.9-8.69.5-0.15.9-3.20.9-13.3-1.54.4-1.128.84.8-4.8-2.0
61      Investment by parent153.3400.2-314.3693.0-31.3-326.3-148.2127.8-63.1-6.1229.4-288.3342.0-112.9-30.5126.0289.9-29.1158.3206.5
62      Stock in Federal Reserve Banks4.41.31.83.15.96.82.72.92.51.50.3-0.6-0.90.8-1.93.61.30.50.10.0
63   Insurance, pension and standardized guarantee
       schemes
519.3578.9739.8440.4522.0693.1647.7679.5632.3601.3805.9667.8583.1604.7597.4667.3564.6278.6536.3535.2
64   Other accounts payable632.8-765.7-1,627.6-538.61,134.4-363.5340.382.1-186.1-442.629.8-553.0-365.8103.3-1,274.1-186.5-396.4-351.5-120.9165.1
  Addendum:
65Net lending (+) or borrowing (-), financial
    account (lines 23-45)
179.937.3-331.8-586.9-1,141.9688.8-88.9-508.0405.8-131.0296.0-485.2-24.0106.5307.8-210.7212.0-39.8-130.694.9
                       Other changes in volume
                         account
66Total other volume changes87.840.0-56.3-265.3-151.286.2-98.1-355.2134.1-96.3-9.8-206.323.6-10.67.5-159.1347.9-34.5-166.9-9.1
67   Disaster losses0.00.0-0.60.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0-2.0
68   Other volume changes36.234.4-24.1-155.5217.62.4-1.1-170.3119.317.0-15.2-56.952.36.70.6-60.1354.88.0-69.8-80.8
69   Less: Statistical discrepancy ((lines
       22-65)/4) (3)
-51.6-5.631.5109.8368.8-83.897.0184.9-14.9113.3-5.4149.428.717.4-6.899.16.942.697.2-73.7
                                           
                                              Revaluation account
70   Nonfinancial assets4.34.119.627.6-5.5-27.7-26.0-2.7-8.4-0.81.05.54.814.211.012.210.88.61.1-2.1
71      Structures (nonresidential)9.57.516.820.4-6.0-25.2-21.82.8-1.7-0.10.21.32.711.19.210.29.18.30.7-2.9
72      Equipment-4.4-3.33.17.61.6-0.8-2.0-4.4-5.00.21.74.31.72.81.72.11.3-0.20.61.2
73      Intellectual property products-0.80.0-0.3-0.4-1.1-1.8-2.1-1.1-1.7-0.9-0.9-0.10.30.30.2-0.20.30.5-0.2-0.5
74   Financial assets-1,277.1-293.6-1,688.6-2,295.7-627.01,338.41,524.2547.3443.8-1,039.81,206.5910.2585.430.0-1,844.2904.41,308.1-505.2758.1171.8
75      Debt securities-69.8-159.9-249.95.045.8176.7232.428.531.7121.5132.1-87.79.899.8140.597.08.990.499.40.1
76      Corporate equities-1,214.1-181.9-1,414.4-2,309.0-769.41,204.81,301.4462.0427.9-1,188.41,089.0981.8573.5-68.5-1,965.0926.01,295.9-582.3664.4128.8
77      Mutual fund shares-322.3-43.6-430.7-633.5-182.7358.7405.3111.3121.7-284.5321.2227.4162.03.0-498.9204.3355.2-132.9192.333.1
78      U.S. direct investment abroad0.00.00.010.80.00.00.054.20.00.00.040.70.00.00.0-45.50.00.00.022.4
79      Insurance, pension, and standardized
          guarantee schemes
329.091.9406.3631.1279.3-401.9-414.9-108.7-137.5311.7-335.8-252.0-159.9-4.3479.1-277.4-351.9119.5-198.1-12.7
80   Liabilities-1,653.8-703.6-1,529.3-3,462.6-1,277.61,666.11,985.5322.6817.7-1,405.31,326.91,194.1765.2-75.6-2,595.21,088.21,917.9-687.4893.3210.2
81      Corporate equity issues-579.9-548.2-98.1-1,178.8-658.3481.7643.9-68.0392.6-446.9235.8388.3206.3-94.0-885.0313.5658.0-239.7199.3115.9
82      Mutual fund shares-676.1-87.3-947.6-1,356.8-377.4762.4858.9231.0267.4-604.7707.3467.3346.613.9-1,102.5452.7813.1-290.4446.067.1
83      Foreign direct investment in the United
          States
0.00.00.0-157.60.00.00.017.90.00.00.034.10.00.00.028.90.00.00.0-2.2
84      Equity in noncorporate business-3.60.0-4.9-5.0-3.54.72.4-0.10.6-1.71.20.21.9-0.3-3.00.1-2.5-1.31.70.8
85      Investment by parent0.00.00.00.00.00.00.0-0.6-0.9-0.6-0.3-0.22.0-0.1-0.10.00.0-0.10.00.0
86      Insurance, pension and standardized
          guarantee schemes
-394.1-68.0-478.7-764.3-238.4417.2480.3142.5158.0-351.4382.9304.4208.34.9-604.6293.0449.4-155.9246.328.6
87Changes in net worth due to nominal holding
    gains/losses
381.0414.1-139.71,194.6645.2-355.4-487.3222.0-382.3364.7-119.4-278.4-175.1119.8762.0-171.6-599.1190.8-134.1-40.5
                    Changes in balance sheet account
88Change in net worth ((lines 18+21)/4 + lines
    66+87) (4)
443.5439.4-216.6921.0556.8-201.7-507.8-47.3-172.1334.5-75.8-430.3-129.7148.4817.8-258.1-185.9199.0-256.8-77.0
                       Balance sheet account (end
                         of period)
89Total assets71,591.071,672.671,208.069,863.069,235.069,903.571,325.371,540.671,517.070,280.571,939.273,107.974,596.475,272.773,662.074,779.977,022.776,580.677,974.178,961.2
90Nonfinancial assets (5)1,580.01,593.51,620.01,649.41,643.31,615.31,589.01,586.31,576.81,574.91,575.41,580.21,582.41,595.11,606.91,621.21,636.31,649.21,654.31,655.5
91      Structures (nonresidential)960.5972.2992.71,015.81,012.0988.6967.9971.3967.9966.1964.5963.9963.6971.8978.4986.3993.4999.6998.2992.0
92      Equipment491.6490.3493.6498.6494.2487.6480.0470.3464.6464.6466.9471.9473.9477.2480.8485.5491.3495.6500.5506.0
93      Intellectual property products127.9131.1133.7134.9137.1139.2141.1144.7144.3144.1143.9144.3145.0146.1147.7149.4151.6154.0155.6157.4
94   Financial assets70,011.070,079.169,588.068,213.667,591.668,288.269,736.369,954.369,940.268,705.670,363.871,527.873,014.073,677.772,055.173,158.875,386.574,931.476,319.877,305.7
95      Monetary gold11.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.011.0
96      Currency and deposits1,212.61,306.01,528.32,146.92,120.92,043.92,223.72,360.72,344.52,195.82,162.92,244.62,699.32,912.92,835.02,767.72,692.42,630.42,618.62,751.9
97      Debt securities17,023.716,855.016,645.016,918.017,017.017,615.118,042.218,343.018,117.318,247.918,684.818,758.419,100.119,200.619,475.219,998.720,547.420,615.020,928.021,291.9
98         Open market paper1,347.81,323.91,173.31,252.81,108.0968.2877.5875.5798.6754.2765.5782.6843.0801.4738.4705.8736.1722.8710.7708.6
99         Treasury securities2,780.32,570.82,904.43,286.83,243.53,456.83,576.13,667.23,813.33,852.53,945.44,261.24,558.44,618.44,976.85,312.45,484.35,460.15,565.15,646.6
100      Agency- and GSE-backed securities (2)4,714.94,948.75,016.25,242.45,520.95,746.65,805.45,937.25,555.65,648.15,605.35,547.95,455.25,466.15,505.05,649.95,746.35,793.15,747.95,867.9
101      Municipal securities1,715.61,718.01,688.41,647.91,663.71,687.61,738.51,739.61,733.61,735.31,764.31,756.51,737.71,747.91,770.61,818.81,846.41,866.81,911.01,954.6
102      Corporate and foreign bonds6,465.16,293.55,862.75,488.15,481.05,755.86,044.76,123.46,216.16,257.96,604.36,410.16,506.06,566.96,484.56,511.86,734.36,772.26,993.37,114.2
103      Loans24,929.125,032.626,120.625,743.325,016.223,894.623,291.422,501.322,296.722,173.221,992.821,778.721,628.821,605.021,755.821,800.221,610.921,708.421,884.122,112.0
104         Short term10,620.310,691.411,793.511,483.510,763.59,711.99,223.58,531.68,489.08,481.68,416.28,417.48,355.78,427.68,658.18,765.08,650.98,818.09,041.99,290.1
105         Long term (mortgages)14,308.814,341.114,327.214,259.914,252.614,182.714,067.913,969.813,807.713,691.513,576.613,361.313,273.113,177.313,097.813,035.212,960.112,890.412,842.212,821.9
106      Equity and investment fund shares19,168.419,160.017,288.814,900.714,600.715,976.017,674.318,417.818,830.417,411.018,887.120,133.820,900.020,902.318,420.419,460.321,401.920,668.621,643.521,937.6
107         Corporate equities11,019.110,959.49,629.47,431.76,599.67,731.59,059.69,625.610,059.88,983.710,042.111,053.211,604.911,566.89,692.610,542.111,857.511,316.711,943.012,087.1
108         Mutual fund shares3,787.93,759.83,338.02,718.52,565.72,939.63,377.13,526.93,672.63,422.33,754.64,017.74,191.54,203.73,653.23,855.74,172.04,029.74,239.24,291.9
109         Money market fund shares1,116.61,100.41,071.21,262.51,263.01,176.41,115.01,065.9931.7868.2868.1883.4859.3844.7780.2816.8718.0687.1688.5735.8
110         Equity in government-sponsored
             enterprises (2)
47.249.048.145.047.249.048.145.044.243.743.441.741.336.836.035.534.734.133.633.5
111         U.S. direct investment abroad678.1688.0702.2737.4746.7753.8773.2832.3835.2842.7852.4870.7876.5887.1889.7840.3851.8857.0859.5883.2
112         Stock in Federal Reserve Banks19.519.920.321.122.624.224.925.626.326.626.726.526.326.526.026.927.227.327.427.4
113         Investment in subsidiaries2,499.82,583.62,479.62,684.63,355.93,301.43,276.33,296.63,260.63,223.93,299.83,240.63,300.33,336.63,342.83,343.03,740.73,716.83,852.33,878.8
114      Insurance, pension and standardized
          guarantee schemes
2,991.13,125.53,601.14,253.44,612.74,499.44,208.34,118.94,224.74,653.14,589.84,516.04,485.34,749.15,058.24,903.04,645.54,802.64,728.94,728.0
115      Other accounts receivable4,675.24,589.14,393.24,240.24,213.14,248.34,285.44,201.54,115.64,013.54,035.34,085.34,189.44,296.84,499.34,217.94,477.34,495.44,505.74,473.2
116Total liabilities and net worth71,591.071,672.671,208.069,863.069,235.069,903.571,325.371,540.671,517.070,280.571,939.273,107.974,596.475,272.773,662.074,779.977,022.776,580.677,974.178,961.2
117   Liabilities71,164.170,806.370,558.368,292.267,107.567,977.769,907.270,169.870,318.368,747.370,481.872,080.873,699.074,226.971,798.373,174.475,603.074,962.076,612.277,676.3
118      Currency and deposits9,367.29,355.410,219.411,361.011,183.211,086.311,343.411,668.911,726.111,631.111,680.312,021.812,704.513,175.113,317.413,501.313,512.113,600.413,677.714,070.3
119      Debt securities15,157.215,422.115,343.115,373.515,474.515,135.114,871.714,600.513,889.513,662.913,524.613,548.913,507.513,302.913,194.613,120.213,072.112,937.612,972.412,926.0
120         Agency- and GSE-backed securities (2)7,540.47,862.38,045.38,143.48,160.38,118.88,098.18,083.37,691.67,672.97,607.17,581.37,631.67,560.67,567.27,559.27,515.47,523.77,525.97,535.4
121         Corporate bonds6,432.56,421.86,289.76,103.86,341.46,172.26,072.95,838.95,577.85,422.15,342.85,391.55,283.35,184.85,100.15,053.15,052.54,941.34,992.04,941.4
122         Commercial paper1,184.31,138.01,008.11,126.3972.8844.0700.7678.3620.2567.9574.8576.0592.6557.6527.3507.9504.3472.6454.6449.1
123      Loans6,907.56,712.27,279.76,342.15,954.45,529.95,255.04,768.44,850.94,795.34,722.34,720.74,780.24,869.85,003.54,917.54,936.54,979.45,084.55,108.6
124         Short term6,745.66,551.07,117.16,178.65,785.05,355.25,080.24,593.24,677.14,622.54,545.84,544.64,598.54,682.64,815.34,728.04,745.84,789.04,891.54,914.2
125         Long term (mortgages)161.8161.2162.7163.5169.4174.7174.8175.3173.8172.8176.5176.1181.6187.2188.2189.5190.7190.5193.1194.4
126      Equity and investment fund shares18,789.918,416.517,421.815,590.815,370.216,610.118,066.018,439.018,919.917,866.218,998.419,934.720,636.020,622.418,613.419,590.621,474.121,003.221,988.722,518.9
127         Money market fund shares3,442.53,377.33,420.33,832.23,813.93,653.13,425.53,315.92,983.82,813.32,796.62,803.52,726.92,686.12,628.92,690.92,581.72,513.52,550.92,693.2
128         Corporate equity issues4,115.53,672.33,688.52,879.72,355.32,887.13,563.63,582.63,985.43,624.03,911.04,346.84,579.14,535.83,716.74,058.24,731.04,522.34,787.44,956.0
129         Mutual fund shares8,266.18,280.07,276.85,788.45,440.36,372.37,402.87,796.78,215.37,690.08,478.59,029.89,477.49,567.78,437.68,941.49,888.69,680.810,213.810,363.5
130         Equity in government-sponsored
             enterprises (2)
53.555.354.651.853.555.354.651.851.050.550.649.048.644.243.543.142.441.641.341.2
131         Foreign direct investment in the United
             States
412.9432.8464.5343.5339.7355.5368.9407.0415.0420.9436.7489.6502.2515.6524.0561.9552.7574.6580.3581.1
132         Equity in noncorporate business11.110.16.610.713.012.212.514.815.415.115.515.914.513.912.011.916.516.416.917.2
133         Investment by parent2,468.82,568.82,490.32,663.53,331.83,250.33,213.23,244.53,227.93,225.73,282.83,173.43,260.93,232.63,224.83,256.33,634.03,626.63,770.73,839.2
134         Stock in Federal Reserve Banks19.519.920.321.122.624.224.925.626.326.626.726.526.326.526.026.927.227.327.427.4
135      Insurance, pension and standardized
          guarantee schemes
17,565.017,647.817,360.116,711.716,601.017,188.617,827.918,137.018,579.118,503.919,214.119,811.020,175.720,342.219,897.420,367.420,963.320,882.421,268.021,435.4
136      Other accounts payable3,377.23,252.22,934.12,913.22,524.12,427.82,543.32,556.02,352.72,287.92,342.12,043.81,895.21,914.41,772.01,677.41,644.81,558.91,620.81,617.2
137   Net worth426.9866.3649.71,570.72,127.51,925.81,418.01,370.81,198.71,533.21,457.41,027.1897.41,045.81,863.61,605.61,419.71,618.71,361.91,284.9
       Footnotes


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