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Integrated Macroeconomic Accounts for the United States Table

S.8.q State and Local Governments (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 added1,487.11,490.71,498.21,509.91,520.51,527.31,535.71,544.61,558.21,570.81,584.91,599.11,606.71,622.71,635.91,655.01,656.81,673.01,685.71,690.7
2Less: Consumption of fixed capital228.8231.3233.2234.3235.7237.4239.3241.5243.6245.1246.9248.1248.6250.3251.6251.9252.0254.7255.6257.2
3Equals: Net value added1,258.31,259.41,265.01,275.71,284.71,289.91,296.41,303.01,314.61,325.61,338.01,351.11,358.11,372.41,384.31,403.11,404.81,418.31,430.11,433.5
4   Compensation of employees (paid)1,271.81,270.31,274.11,283.61,293.41,299.41,306.61,313.91,324.81,335.41,347.71,361.01,368.31,382.51,393.91,411.51,411.81,424.71,436.41,440.3
5   Operating surplus, net-13.5-10.9-9.1-7.9-8.7-9.5-10.2-10.9-10.2-9.8-9.7-9.9-10.2-10.1-9.6-8.4-6.9-6.4-6.3-6.7
6Net national income/Balance of primary incomes,
    net
879.9878.7875.1887.7905.5907.6918.7926.2944.0968.5981.4990.9990.7995.91,004.11,009.31,014.71,015.21,032.61,037.9
7   Operating surplus, net-13.5-10.9-9.1-7.9-8.7-9.5-10.2-10.9-10.2-9.8-9.7-9.9-10.2-10.1-9.6-8.4-6.9-6.4-6.3-6.7
8   Taxes on production and imports, receivable1,015.11,014.91,012.21,025.41,044.51,045.81,053.81,056.31,065.71,083.91,093.51,101.91,102.91,110.01,120.61,128.81,137.41,141.01,159.81,165.6
9   Subsidies (paid)-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5-0.5
10   Property income received, net-121.3-124.8-127.6-129.4-129.8-128.2-124.4-118.7-111.0-105.2-101.8-100.5-101.6-103.5-106.3-110.5-115.2-118.8-120.4-120.5
11Net national income/Balance of primary incomes,
    net
879.9878.7875.1887.7905.5907.6918.7926.2944.0968.5981.4990.9990.7995.91,004.11,009.31,014.71,015.21,032.61,037.9
12Plus: Current taxes on income, wealth, etc.
    (received)
385.4394.6402.5414.1437.7441.4421.8424.3439.8426.5441.7453.8460.9472.3465.4475.7473.4471.1484.8481.7
13Plus: Social benefits (received)18.018.018.018.218.318.418.618.819.219.619.819.819.819.819.819.920.120.220.320.4
14Less: Social contributions (paid)523.4543.4541.5551.7547.7561.1571.8573.0584.4607.2633.6642.4651.2666.0668.8670.0678.2687.1697.1708.1
15Plus: Other current transfers (received)551.8552.5557.7570.1556.9573.1578.6576.4588.6635.8641.0634.4653.1658.8662.8745.1677.6685.0701.5718.4
16Less: Other current transfers (paid)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
17Equals: Disposable income, net1,311.71,300.31,311.81,338.31,370.71,379.41,365.81,372.81,407.21,443.11,450.41,456.51,473.31,480.81,483.41,580.11,507.71,504.51,542.11,550.3
18Less: Final consumption expenditures1,536.41,530.81,534.21,543.91,554.91,558.21,565.91,571.81,587.61,601.11,617.01,627.21,622.91,646.21,660.51,673.51,668.31,689.41,704.41,712.2
19Equals: Net saving-224.7-230.4-222.3-205.6-184.1-178.8-200.1-199.0-180.4-158.0-166.6-170.7-149.6-165.4-177.1-93.4-160.6-184.9-162.2-161.9
                                              
                                                 Capital account
20Net saving less capital transfers-154.2-158.3-149.9-124.1-111.7-109.5-126.0-128.5-110.1-86.0-92.0-104.9-81.7-97.9-104.9-25.0-88.2-112.7-88.3-90.9
21   Net saving-224.7-230.4-222.3-205.6-184.1-178.8-200.1-199.0-180.4-158.0-166.6-170.7-149.6-165.4-177.1-93.4-160.6-184.9-162.2-161.9
22   Less: Capital transfers paid (net)-70.5-72.1-72.4-81.6-72.4-69.3-74.1-70.6-70.3-71.9-74.6-65.8-67.9-67.4-72.2-68.4-72.4-72.2-73.9-71.1
23Capital formation, net114.7112.9104.595.793.895.495.992.488.394.495.698.896.1108.6110.799.8110.699.790.692.6
     Gross fixed capital formation (acquisition of
24   produced nonfinancial assets)334.6335.2328.5320.7320.5323.8326.2325.0322.7330.1332.9337.0334.6348.6352.0341.3352.1343.9335.6339.2
25   Less: Consumption of fixed capital228.8231.3233.2234.3235.7237.4239.3241.5243.6245.1246.9248.1248.6250.3251.6251.9252.0254.7255.6257.2
26   Acquisition of nonproduced nonfinancial assets9.09.19.29.39.09.09.09.09.29.49.69.810.010.210.310.410.410.510.510.6
27Net lending (+) or borrowing (-), capital
    account (lines 20-23)
-268.9-271.3-254.4-219.8-205.6-204.9-221.9-220.9-198.3-180.4-187.6-203.6-177.8-206.5-215.6-124.8-198.8-212.4-178.8-183.4
                                         Financial
                                           account
28Net lending (+) or borrowing (-) (line 27)-268.9-271.3-254.4-219.8-205.6-204.9-221.9-220.9-198.3-180.4-187.6-203.6-177.8-206.5-215.6-124.8-198.8-212.4-178.8-183.4
29Net acquisition of financial assets-111.5-42.0229.5-169.4221.1-70.033.984.141.9-13.7-106.5228.4167.0-201.8-31.2219.555.3186.1244.8116.8
30   Currency and deposits-10.56.219.3-4.612.834.240.02.828.124.627.827.92.78.7-2.50.021.813.1-31.71.6
31      Currency and transferable deposits-21.0-7.9-19.6-11.24.20.416.9-7.75.911.49.830.1-32.43.5-2.5-17.719.2-7.9-3.6-29.4
32      Time and savings deposits10.514.038.96.68.633.823.110.522.313.318.0-2.235.15.20.017.72.621.0-28.131.0
33   Debt securities-79.3-42.3117.0-123.4103.4-94.4-57.420.0-31.6-47.7-97.1110.789.0-180.0-23.099.46.8118.8181.557.3
34      Open market paper-14.6-13.3-1.2-16.70.2-13.1-6.4-5.2-7.4-11.4-14.8-3.8-3.9-13.64.3-4.6-10.62.85.73.4
35      Treasury securities4.731.484.2-18.656.8-21.1-46.518.5-11.911.0-3.392.370.6-96.125.7115.050.967.2117.118.7
36      Agency- and GSE-backed securities (2)-58.3-51.517.7-71.726.6-51.1-10.9-2.9-16.6-41.7-64.17.77.6-57.6-45.3-38.2-38.040.040.724.3
37      Municipal securities-0.8-0.71.2-1.21.5-0.70.50.70.3-0.4-1.11.11.1-1.0-0.62.00.30.71.30.8
38      Corporate and foreign bonds-10.2-8.315.0-15.218.3-8.45.88.93.9-5.3-13.813.413.6-11.8-7.125.24.18.216.810.0
39   Loans-15.5-11.935.1-26.040.6-13.015.121.210.9-7.5-24.930.131.3-20.9-11.654.28.917.134.420.7
40      Short term-5.4-3.913.5-9.216.1-4.26.79.15.3-1.8-8.512.712.9-7.0-3.322.33.36.513.38.0
41      Long term (mortgages)-10.1-8.021.6-16.824.5-8.88.412.15.7-5.7-16.417.418.4-13.9-8.331.95.710.621.112.7
42   Equity and investment fund shares-15.6-12.228.6-24.434.5-12.612.618.09.2-7.1-22.426.226.6-18.9-10.447.77.414.830.218.0
43      Money market fund shares-7.4-5.616.5-12.219.7-5.87.910.96.0-2.8-11.215.415.6-9.3-4.727.34.18.216.610.0
44      Corporate equities-5.5-4.48.0-8.19.8-4.53.14.72.1-2.8-7.47.17.2-6.3-3.813.42.24.48.95.3
45      Mutual fund shares-2.8-2.34.1-4.25.0-2.31.62.41.1-1.4-3.83.73.7-3.2-1.96.91.12.34.62.8
46   Other accounts receivable9.518.429.49.029.815.823.722.225.324.010.133.517.59.416.318.210.322.330.419.2
47      Trade receivables1.88.76.84.18.312.910.56.010.314.17.612.6-0.39.02.14.64.013.813.310.0
48      Taxes receivable9.210.19.09.75.83.64.95.97.98.77.17.44.13.82.43.63.42.85.52.2
49      Other (miscellaneous assets)-1.5-0.513.6-4.815.7-0.88.210.27.01.1-4.513.513.7-3.411.710.12.95.711.67.0
50Net incurrence of liabilities148.0161.0463.163.0458.3137.2292.3304.2252.3119.328.7356.7281.660.556.0402.9260.7301.3315.2289.2
51   Debt securities (municipals)-9.649.5-1.1-62.60.9-61.8-80.1-81.0-71.0-17.2-82.528.546.76.911.6-27.021.066.323.67.9
52      Short term1.716.010.8-13.3-4.1-18.0-5.2-16.5-6.9-1.6-15.3-1.8-1.52.6-22.4-2.3-1.07.8-11.3-6.7
53      Other-11.333.4-11.9-49.35.0-43.8-74.9-64.5-64.2-15.5-67.230.248.34.334.0-24.722.058.534.914.6
54   Loans (short term)0.51.1-0.40.51.3-0.20.50.60.20.50.30.40.40.1-0.30.80.80.2-0.93.6
55   Insurance, pension and standardized guarantee
       schemes
118.872.3426.787.4418.0161.1333.6346.3284.596.771.2287.9194.912.83.6388.4197.9193.6251.3236.2
     (claim of pension funds on sponsor)
56   Other accounts payable (trade payables)38.438.238.037.738.038.138.338.338.739.339.739.939.640.741.140.741.041.141.141.5
  Addendum:
57Net lending (+) or borrowing (-), financial
    account (lines 29-50)
-259.5-203.0-233.7-232.4-237.2-207.2-258.4-220.1-210.4-133.0-135.2-128.4-114.6-262.3-87.2-183.4-205.5-115.2-70.3-172.4
                       Other changes in volume
                         account
58Total other volume changes30.92.450.8-44.5-2.3-22.535.8-31.4-6.5-30.952.0-24.312.9-63.177.9-57.2-3.6-5.370.5-39.0
59   Disaster losses0.00.00.0-7.60.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
60   Other volume changes34.80.0-11.22.113.4-2.6-13.4-0.43.7-18.8-23.8-11.73.4-19.4-22.0-10.86.4-5.5-22.9-8.1
61   Less: Statistical discrepancy ((lines
       27-57)/4) (3)
3.9-2.4-62.039.015.719.9-49.331.010.312.1-75.812.6-9.443.6-99.946.410.0-0.1-93.330.9
                                           
                                              Revaluation account
62Nonfinancial assets72.281.553.418.850.252.759.178.261.137.149.123.3-15.247.125.6-18.34.9134.442.278.1
63   Structures70.780.552.618.850.651.857.976.359.635.948.123.0-15.947.125.3-17.84.8133.442.278.0
64   Equipment0.90.60.6-0.2-0.60.40.71.20.71.00.90.30.90.20.1-0.60.00.90.0-0.2
65   Intellectual property products0.60.40.30.10.20.50.40.80.80.30.20.0-0.2-0.10.20.10.20.10.00.3
66Financial assets (equity and investment fund
    shares)
16.7-4.87.4-0.513.83.17.512.92.16.0-0.76.31.8-0.5-10.67.70.52.95.65.3
67Liabilities (claim of pension funds on sponsor)-219.984.8-126.3-19.1-170.112.9-153.1-188.1-43.1-115.362.4-60.7-54.240.2225.8-102.5-11.3-40.6-107.7-22.3
68Changes in net worth due to nominal holding
    gains/losses
308.7-8.1187.137.4234.242.9219.7279.2106.3158.4-14.090.340.76.4-210.792.016.7177.9155.5105.6
                    Changes in balance sheet account
69Change in net worth ((lines 23+27)/4 + lines
    58+68) (4)
287.8-32.0156.75.5190.38.6179.8257.856.0123.3-31.184.813.5-59.7-206.574.3-25.7160.3157.091.6
                       Balance sheet account (end
                         of period)
70Total assets11,981.212,062.012,193.912,200.012,337.412,388.912,477.912,626.312,721.812,772.012,811.912,937.612,989.212,999.713,032.913,116.413,161.913,366.713,488.313,634.9
71   Nonfinancial assets (5)9,167.29,274.79,352.09,384.79,456.19,530.49,611.29,710.39,791.29,849.59,920.29,965.79,972.010,043.710,094.410,098.510,128.410,285.210,347.410,446.0
72      Structures8,808.68,914.58,990.49,022.99,094.19,166.69,245.39,341.59,420.39,476.79,545.69,589.99,594.79,665.69,715.09,718.39,746.89,901.39,962.410,060.1
73      Equipment246.9247.2247.3246.7245.7246.0246.6247.7247.9248.6249.3249.5250.2250.0250.1249.7250.0251.1251.4251.1
74      Intellectual property products111.7113.1114.2115.2116.4117.8119.3121.2122.9124.2125.3126.3127.1128.0129.3130.4131.6132.7133.6134.8
75   Financial assets2,813.92,787.32,841.92,815.22,881.22,858.52,866.62,915.92,930.62,922.52,891.72,971.93,017.22,956.02,938.53,017.93,033.53,081.53,140.93,188.9
76      Currency and deposits409.3399.6405.1416.9418.4415.8427.0439.4445.5440.6449.2466.5466.7458.2459.4468.7474.2467.1460.6469.9
77         Currency and transferable deposits97.194.287.392.489.088.090.895.993.895.196.6110.299.298.297.097.9100.296.394.892.5
78         Time and savings deposits312.2305.4317.8324.5329.3327.8336.3343.5351.7345.5352.6356.3367.6360.0362.3370.8374.0370.8365.8377.4
79      Debt securities1,342.61,334.71,356.01,330.61,356.41,336.11,313.41,323.51,316.11,307.71,274.81,307.01,330.11,288.91,274.51,303.41,306.21,339.61,376.41,394.5
80         Open market paper89.386.085.781.581.678.376.775.473.670.767.066.165.161.762.861.658.959.661.161.9
81         Treasury securities573.2583.8596.9597.6611.8609.9589.9599.6597.1603.5594.0621.6640.1619.9617.6650.4664.3684.8705.4713.9
82         Agency- and GSE-backed securities (2)501.7488.8493.2475.3481.9469.2466.5465.7461.6451.2435.1437.1439.0424.6413.2403.7394.2404.2414.4420.4
83         Municipal securities13.313.113.413.113.513.313.413.613.713.613.313.613.913.613.514.014.114.214.614.8
84         Corporate and foreign bonds165.1163.0166.8163.0167.6165.5166.9169.1170.1168.8165.3168.7172.1169.1167.3173.7174.7176.7180.9183.4
85      Loans327.5323.9332.0325.0334.7331.0334.5339.5342.0340.0333.6340.9348.3342.9339.9353.3355.4359.6368.1373.2
86         Short term122.8121.9125.2122.9127.0125.9127.6129.9131.2130.7128.6131.8135.0133.3132.5138.1138.9140.5143.8145.8
87         Long term (mortgages)204.6202.1206.7202.0207.7205.1206.9209.6210.8209.2204.9209.1213.3209.6207.4215.2216.5219.1224.3227.4
88      Equity and investment fund shares358.3350.4365.0358.3380.8380.8391.4408.8413.2417.4411.1424.0432.4427.2414.0433.7436.1442.7455.8465.6
89         Money market fund shares155.5154.1158.2155.1160.1158.6160.6163.3164.8164.1161.3165.1169.0166.7165.5172.4173.4175.4179.6182.1
90         Corporate equities137.4133.1140.0137.7149.2150.2155.9165.6167.5170.8168.4174.4177.4175.5167.6176.0176.9180.0185.9190.7
91         Mutual fund shares65.463.266.865.571.572.074.979.980.982.681.484.486.085.080.985.385.887.390.492.8
92      Other accounts receivable376.3378.6383.9384.4391.0394.8400.2404.8413.9416.7423.1433.6439.6438.8450.8458.9461.6472.5480.0485.7
93         Trade receivables158.3160.4162.1163.2165.2168.5171.1172.6175.2178.7180.6183.8183.7185.9186.5187.6188.6192.1195.4197.9
94         Taxes receivable120.1120.4120.6121.3121.8122.6123.4123.8128.6127.6133.3137.2139.9137.7146.2150.6151.6157.7158.9160.4
95         Other (miscellaneous assets)97.997.8101.2100.0103.9103.7105.8108.3110.1110.4109.2112.6116.0115.2118.1120.6121.4122.8125.7127.4
96Total liabilities and net worth11,981.212,062.012,193.912,200.012,337.412,388.912,477.912,626.312,721.812,772.012,811.912,937.612,989.212,999.713,032.913,116.413,161.913,366.713,488.313,634.9
97   Liabilities5,408.45,521.15,496.35,496.95,443.95,486.85,396.05,286.65,326.05,253.05,324.05,364.95,403.05,473.25,712.95,722.15,793.35,837.85,802.45,857.4
98      Debt securities (municipals)3,123.33,130.03,122.03,116.93,122.23,104.93,076.53,061.43,051.73,048.43,017.83,025.83,047.53,052.13,043.03,035.43,051.53,071.53,064.53,065.1
99            Short term52.043.555.856.254.539.446.745.343.133.737.538.938.131.131.833.032.427.129.930.2
100         Other3,071.33,086.53,066.23,060.63,067.73,065.53,029.83,016.13,008.63,014.72,980.32,986.93,009.43,021.13,011.33,002.43,019.13,044.43,034.63,034.9
101      Loans (short term)15.415.715.615.716.016.016.116.216.316.416.516.616.716.716.716.917.117.116.917.8
102      Insurance, pension and standardized
          guarantee schemes
1,552.71,649.01,622.81,618.91,550.81,601.51,529.31,425.31,464.81,385.11,476.81,499.51,506.01,561.31,799.91,806.41,850.91,865.21,826.71,869.8
           (claim of pension funds on sponsor)
103      Other accounts payable (trade payables)717.0726.5736.0745.5754.9764.5774.0783.6793.3803.1813.0823.0832.9843.1853.3863.5873.8884.0894.3904.7
104   Net worth6,572.86,540.86,697.66,703.16,893.46,902.17,081.97,339.77,395.87,519.07,487.97,572.77,586.27,526.57,320.07,394.37,368.67,528.97,685.97,777.5
       Footnotes


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