--> BEA National Economic Accounts

> Back to IMA Home

Integrated Macroeconomic Accounts for the United States Table

S.3.a Households and Nonprofit Institutions Serving Households
Today is: 10/20/2017   Last Revised on September 27, 2017 

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

Line      2004       2005       2006       2007       2008       2009       2010       2011   
                                              
                                                 Current account
1Gross value added1,510.91,599.51,689.41,749.61,855.31,913.61,928.81,974.4
2Less: Consumption of fixed capital323.4362.1396.2413.7414.6403.3400.5398.2
3Equals: Net value added1,187.51,237.51,293.21,335.91,440.71,510.31,528.31,576.1
4   Compensation paid by households and NPISHs545.6563.4590.9616.8658.2686.6696.4723.9
5      Wages and salaries452.2466.2490.9516.0549.9566.1577.3597.0
6      Employers' social contributions93.497.1100.0100.8108.3120.5119.1126.9
7   Taxes on production and imports less subsidies114.7120.7130.8135.1143.2152.4152.8154.9
8   Operating surplus, net527.2553.4571.5584.0639.3671.3679.1697.2
9Net national income/Balance of primary incomes,
    net
9,244.89,733.110,437.510,936.711,247.710,643.410,889.511,566.0
10   Operating surplus, net527.2553.4571.5584.0639.3671.3679.1697.2
11   Compensation of employees (received)6,739.57,086.87,502.37,898.38,078.37,787.07,961.48,269.0
12      Wages and salaries5,421.95,692.06,057.46,395.26,531.96,251.46,377.56,633.2
13      Employers' social contributions1,317.61,394.81,444.91,503.11,546.41,535.61,583.91,635.9
14   Property income (received)2,537.52,722.23,071.63,234.63,303.62,901.92,900.23,207.9
15      Interest942.91,089.41,216.11,351.51,363.01,265.51,196.21,232.9
16      Distributed income of corporations1,594.51,632.81,855.51,883.11,940.61,636.41,704.01,975.0
17         Dividends562.1578.3723.7816.5805.4553.7544.6682.2
18         Withdrawals from income of
             quasi-corporations (1)
1,032.51,054.51,131.81,066.61,135.21,082.61,159.41,292.8
19   Less: Uses of property income (interest paid)559.5629.3707.9780.2773.5716.8651.2608.2
20Net national income/Balance of primary incomes,
    net
9,244.89,733.110,437.510,936.711,247.710,643.410,889.511,566.0
21Less: Current taxes on income, wealth, etc. (paid)1,050.61,213.21,357.11,493.21,507.81,152.31,239.31,453.2
22Plus: Social benefits (received)1,404.61,491.01,593.11,697.51,920.02,108.82,281.72,310.2
23Less: Social contributions (paid)829.2873.3922.6961.4988.2964.4984.1917.8
24Plus: Other current transfers (received)16.825.721.530.636.638.743.050.2
25Less: Other current transfers (paid)116.8126.1137.0149.8157.8159.8158.7156.1
26Equals: Disposable income, net8,669.49,037.29,635.410,060.310,550.410,514.410,832.211,399.4
27Less: Final consumption expenditures8,260.08,794.19,304.09,750.510,013.69,847.010,202.210,689.3
28Equals: Net saving409.4243.1331.4309.8536.7667.4630.0710.1
                                              
                                                 Capital account
29Net saving less capital transfers408.1265.0314.8303.0529.0695.8650.6708.1
30   Net saving409.4243.1331.4309.8536.7667.4630.0710.1
31   Less: Capital transfers paid (net)1.4-21.916.66.87.7-28.4-20.62.0
32Capital formation, net433.8493.8453.8311.2154.955.243.445.8
33   Gross fixed capital formation, excluding
       consumer durables
765.9865.0860.1736.1580.4468.1452.4451.9
34      Residential643.8738.9722.7582.3425.3321.0318.3321.1
35      Nonresidential (nonprofit organizations)122.1126.1137.4153.9155.1147.1134.1130.8
36   Less: Consumption of fixed capital323.4362.1396.2413.7414.6403.3400.5398.2
37   Acquisition of nonproduced nonfinancial assets-8.7-9.1-10.1-11.2-11.0-9.7-8.5-7.8
38Net lending (+) or borrowing (-), capital
    account (lines 29-32)
-25.8-228.8-139.0-8.2374.2640.6607.2662.3
                                         Financial
                                           account
39Net lending (+) or borrowing (-) (line 38)-25.8-228.8-139.0-8.2374.2640.6607.2662.3
40Net acquisition of financial assets1,250.7964.9863.31,260.31,322.7685.9734.51,435.3
41   Currency and deposits404.6369.9450.8425.3417.1197.1208.3660.3
42      Currency and transferable deposits-58.2-113.8-41.5-75.0176.6100.739.0300.2
43      Time and savings deposits453.9481.6486.2482.5258.3103.5164.8370.0
44      Foreign deposits8.92.16.117.8-17.8-7.24.5-9.9
45      Postal savings system deposits0.00.00.00.00.00.00.00.0
46   Debt securities171.271.7-101.5462.3963.0-94.5-87.7151.8
47      Treasury securities-10.0-156.8-89.7-38.4192.3502.0296.8-158.0
48      Agency- and GSE-backed securities (2)126.839.0-43.9362.4313.4-652.1-11.7103.5
49      Municipal securities135.5115.358.228.855.9158.270.8-13.1
50      Corporate and foreign bonds-81.374.1-26.0109.5401.3-102.6-443.5219.5
51   Loans126.0-3.064.2217.6-145.4-29.017.1-0.1
52      Short term117.0-9.083.6232.6-161.0-47.411.7-6.2
53      Long term (mortgages)9.06.1-19.3-15.015.618.45.46.1
54   Equity and investment fund shares-136.7-112.8-136.6-416.0-571.562.9-45.63.6
55      Corporate equities-301.2-308.7-527.1-872.8-441.575.6-251.5-385.3
56      Mutual fund shares125.3200.6171.6259.0-57.0361.6220.6175.5
57      Money market fund shares-31.248.2224.4244.5233.1-267.9-185.9-18.6
58      Equity in noncorporate business70.5-52.8-5.5-46.7-306.1-107.6167.2231.5
59      Equity investment under Public-Private
          Inv. Program (3)
0.00.00.00.00.01.24.00.5
60   Insurance, pension and standardized guarantee
       schemes
676.1629.2578.2561.2652.0550.1636.1605.3
61      Insurance receivables due from
          property-casualty insurance companies
23.625.64.66.711.08.7-35.227.6
62      Life insurance reserves29.912.550.310.057.020.67.369.9
63      Pension entitlements (4)593.7558.7490.5505.2539.9495.8624.4474.5
64      Non-life insurance reserves at life
          insurance companies
11.49.514.815.517.68.417.114.8
65      Retiree Health Care Funds17.423.018.123.826.516.622.518.5
66   Other accounts receivable (trade receivables)9.69.98.110.07.5-0.86.314.4
67Net incurrence of liabilities1,145.41,186.61,278.7965.728.993.4-86.5-31.1
68   Debt securities (municipals)13.614.416.422.510.56.9-1.3-7.8
69   Loans1,112.51,157.21,245.2924.4-9.049.6-58.6-42.9
70      Short term179.069.2228.8177.7-115.5-27.699.618.7
71         Consumer credit117.2100.4120.1150.234.3-94.6-28.2111.0
72         Depository institution loans n.e.c.-20.00.344.2-9.14.628.350.1-54.9
73         Other loans and advances81.8-31.564.436.6-154.538.777.6-37.4
74      Long term (mortgages)933.51,088.01,016.5746.7106.577.2-158.2-61.6
75   Insurance, pension and standardized guarantee
       schemes
1.50.90.61.03.2-4.92.6-0.5
76   Other accounts payable (trade debt)17.814.116.517.824.241.8-29.220.0
  Addendum:
77Net lending (+) or borrowing (-), financial
    account (lines 40-67)
105.2-221.7-415.4294.61,293.8592.5821.01,466.4
                       Other changes in volume
                         account
78Total other volume changes1,418.5458.8527.9718.11,510.496.0922.7440.6
79   Net investment in consumer durable goods254.8252.4239.6231.1134.650.386.9119.0
80   Disaster losses-12.0-50.40.00.0-8.30.00.00.0
81   Other volume changes1,044.8249.7564.8184.2464.593.8622.0-482.6
82   Less: Statistical discrepancy (lines 38-77) (5)-131.0-7.1276.5-302.8-919.748.1-213.8-804.1
                                           
                                              Revaluation account
83   Nonfinancial assets2,468.82,926.1225.8-2,123.5-3,962.7-1,012.9-590.426.1
84      Real estate2,506.42,972.9274.1-2,064.4-3,928.2-965.5-499.33.7
85      Consumer durable goods-34.5-44.1-46.9-55.6-32.0-40.8-88.317.7
86      Equipment-2.0-2.6-0.6-3.1-1.3-4.7-2.42.5
87      Intellectual property products-1.1-0.1-0.8-0.3-1.2-2.0-0.42.2
88   Financial assets2,736.72,496.73,224.31,108.3-8,396.62,062.42,641.9-103.4
89      Corporate equities967.5975.81,975.0727.8-4,033.21,615.01,613.9-173.5
90      Mutual fund shares301.624.5407.2226.1-1,490.9719.0406.8-146.7
91      Equity in noncorporate business1,209.91,188.7375.3-85.1-1,225.5-1,046.5143.7309.7
92      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.0-0.3-1.00.9
93      Insurance, pension and standardized
          guarantee schemes
257.7307.9466.9239.5-1,647.0775.2478.5-93.8
94Changes in net worth due to nominal holding
    gains/losses
5,205.55,422.83,450.1-1,015.1-12,359.31,049.52,051.5-77.3
                    Changes in balance sheet account
95Change in net worth (lines 32+38+78+94)7,032.16,146.74,292.96.0-10,319.81,841.33,624.81,071.3
                       Balance sheet account (end
                         of period)
96Total assets67,308.874,641.080,231.981,175.470,757.572,398.475,760.676,658.2
97   Nonfinancial assets25,126.128,749.629,670.128,089.724,408.823,502.523,040.223,228.8
98         Real estate20,961.624,356.325,060.823,280.219,474.618,546.118,071.718,103.2
99         Consumer durable goods3,899.54,107.84,300.54,476.04,578.64,588.14,586.74,723.3
100      Equipment189.4206.1226.0245.8264.0271.9280.1293.0
101      Intellectual property products75.579.582.887.691.696.4101.8109.4
102   Financial assets42,182.745,891.450,561.853,085.746,348.748,895.952,720.453,429.4
103      Currency and deposits4,941.35,311.55,789.16,209.36,591.36,773.96,932.97,585.9
104         Currency and transferable deposits399.7285.9239.4153.4295.0395.7423.5716.5
105         Foreign deposits61.863.869.987.769.962.767.357.4
106         Time and savings deposits4,479.94,961.75,479.85,968.26,226.46,315.46,442.26,812.1
107         Postal savings system deposits0.00.00.00.00.00.00.00.0
108      Debt securities3,006.13,312.93,339.53,894.05,203.44,870.44,761.74,250.1
109         Treasury securities476.1400.7319.9171.8138.9845.31,084.0661.1
110         Agency- and GSE-backed securities (2)408.2465.3495.6744.4991.3317.0268.9294.7
111         Municipal securities1,513.41,630.01,687.01,776.41,917.81,993.62,072.31,966.4
112         Corporate and foreign bonds608.5816.9837.01,201.42,155.51,714.51,336.51,327.9
113      Loans762.1759.2892.21,109.9964.4937.7954.8954.8
114         Short term641.1632.1784.51,017.1856.1811.0822.7816.6
115         Long term (mortgages)121.0127.1107.792.8108.3126.7132.1138.2
116      Equity and investment fund shares19,297.021,348.624,361.524,815.917,497.118,908.721,041.721,046.2
117         Corporate equities7,639.98,306.910,219.910,074.95,600.27,340.88,703.28,190.6
118         Mutual fund shares3,074.13,299.23,857.94,343.02,795.13,875.64,503.04,489.0
119         Money market fund shares877.9926.11,097.61,342.11,575.21,307.31,121.51,102.5
120         Equity in noncorporate business7,705.08,816.49,186.29,055.97,526.66,384.16,710.17,258.8
121         Equity investment under Public-Private
             Inv. Program (3)
0.00.00.00.00.00.93.85.2
122      Insurance, pension and standardized
          guarantee schemes
14,032.915,006.116,018.216,885.515,913.717,227.218,845.019,393.9
123         Insurance receivables due from
             property-casualty insurance companies
290.4316.0320.5327.3337.3346.0310.8338.4
124         Life insurance reserves1,060.41,082.61,055.21,077.21,050.21,109.51,137.51,199.3
125         Pension entitlements (4)12,418.813,314.914,316.915,096.114,097.215,317.616,903.117,329.4
126         Non-life insurance reserves at life
             insurance companies
211.0217.3232.1247.6265.2273.6290.7305.5
127         Retiree Health Care Funds52.475.493.5137.3163.8180.4202.9221.4
128      Other accounts receivable (trade
          receivables)
143.2153.1161.2171.2178.7178.0184.2198.6
129Total liabilities and net worth67,308.874,641.080,231.981,175.470,757.572,398.475,760.676,658.2
130   Liabilities11,016.212,201.813,499.714,437.214,339.114,138.813,876.213,702.5
131      Debt securities (municipals)201.7216.1232.5255.0265.5272.4271.1263.3
132      Loans10,602.711,759.913,024.413,920.513,784.513,540.413,305.813,120.3
133         Short term2,586.32,655.62,903.63,083.82,968.32,875.93,122.23,146.3
134            Consumer credit2,220.12,320.62,456.72,609.52,643.82,555.02,646.82,757.8
135            Depository institution loans n.e.c.-16.8-16.530.921.826.4-15.961.011.5
136            Other loans and advances383.0351.5415.9452.6298.1336.7414.4377.0
137         Long term (mortgages)8,016.49,104.310,120.810,836.710,816.210,664.510,183.59,974.0
138      Insurance, pension and standardized
          guarantee schemes
23.123.023.624.627.822.925.525.0
139      Other accounts payable (trade debt)188.7202.8219.3237.1261.3303.1273.9293.9
140   Net worth56,292.662,439.366,732.266,738.256,418.358,259.661,884.362,955.7
       Footnotes


Page creation time = 44091.39 Seconds on SERVER B - page last updated 2-19-14