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Integrated Macroeconomic Accounts for the United States Table

S.3.a Households and Nonprofit Institutions Serving Households
[Billions of Dollars]
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)
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Line      2008       2009       2010       2011       2012       2013       2014       2015   
                                              
                                                 Current account
1Gross value added1,855.31,913.61,928.81,974.42,029.42,084.32,165.22,258.9
2Less: Consumption of fixed capital414.6403.3400.5398.2404.6427.7456.3471.8
3Equals: Net value added1,440.71,510.31,528.31,576.11,624.81,656.61,708.91,787.1
4   Compensation paid by households and NPISHs658.2686.6696.4723.9759.2779.8811.5852.1
5      Wages and salaries549.9566.1577.3597.0624.7641.7669.2705.3
6      Employers' social contributions108.3120.5119.1126.9134.4138.1142.2146.7
7   Taxes on production and imports less subsidies143.2152.4152.8154.9156.0157.7159.6161.1
8   Operating surplus, net639.3671.3679.1697.2709.6719.0737.8773.9
9Net national income/Balance of primary incomes,
    net
11,247.710,643.410,889.511,566.012,269.012,519.313,181.413,726.3
10   Operating surplus, net639.3671.3679.1697.2709.6719.0737.8773.9
11   Compensation of employees (received)8,078.37,787.07,961.48,269.08,609.98,842.49,253.49,693.1
12      Wages and salaries6,531.96,251.46,377.56,633.26,930.37,116.77,476.37,854.8
13      Employers' social contributions1,546.41,535.61,583.91,635.91,679.61,725.81,777.11,838.2
14   Property income (received)3,303.62,901.92,900.23,207.93,526.73,507.23,739.93,820.4
15      Interest1,363.01,265.51,196.21,232.91,290.11,263.01,302.31,304.1
16      Distributed income of corporations1,940.61,636.41,704.01,975.02,236.62,244.32,437.62,516.2
17         Dividends805.4553.7544.6682.2834.9794.4926.1951.1
18         Withdrawals from income of
             quasi-corporations (1)
1,135.21,082.61,159.41,292.81,401.71,449.81,511.51,565.1
19   Less: Uses of property income (interest paid)773.5716.8651.2608.2577.3549.4549.7561.1
20Net national income/Balance of primary incomes,
    net
11,247.710,643.410,889.511,566.012,269.012,519.313,181.413,726.3
21Less: Current taxes on income, wealth, etc. (paid)1,507.81,152.31,239.31,453.21,511.41,677.81,787.01,938.7
22Plus: Social benefits (received)1,920.02,108.82,281.72,310.22,323.62,386.92,494.92,627.2
23Less: Social contributions (paid)988.2964.4984.1917.8951.61,104.61,154.91,203.5
24Plus: Other current transfers (received)36.638.743.050.242.741.145.551.4
25Less: Other current transfers (paid)157.8159.8158.7156.1175.0183.6190.6195.5
26Equals: Disposable income, net10,550.410,514.410,832.211,399.411,997.311,981.312,589.413,067.3
27Less: Final consumption expenditures10,013.69,847.010,202.210,689.311,050.611,361.211,863.412,283.7
28Equals: Net saving536.7667.4630.0710.1946.7620.1726.0783.6
                                              
                                                 Capital account
29Net saving less capital transfers529.0695.8650.6708.1951.8600.1716.4762.1
30   Net saving536.7667.4630.0710.1946.7620.1726.0783.6
31   Less: Capital transfers paid (net)7.7-28.4-20.62.0-5.120.09.621.5
32Capital formation, net154.955.243.445.892.9135.6146.5208.1
33   Gross fixed capital formation, excluding
       consumer durables
580.4468.1452.4451.9505.3571.2610.8688.1
34      Residential425.3321.0318.3321.1367.9433.4473.8542.3
35      Nonresidential (nonprofit organizations)155.1147.1134.1130.8137.4137.8137.0145.8
36   Less: Consumption of fixed capital414.6403.3400.5398.2404.6427.7456.3471.8
37   Acquisition of nonproduced nonfinancial assets-11.0-9.7-8.5-7.8-7.9-7.9-8.0-8.2
38Net lending (+) or borrowing (-), capital
    account (lines 29-32)
374.2640.6607.2662.3858.9464.6569.9554.0
                                         Financial
                                           account
39Net lending (+) or borrowing (-) (line 38)374.2640.6607.2662.3858.9464.6569.9554.0
40Net acquisition of financial assets1,289.5664.4748.41,466.71,197.11,102.41,387.51,290.9
41   Currency and deposits417.1197.1208.3660.3581.8347.3506.5636.2
42      Currency and transferable deposits176.6100.739.0300.2177.4134.074.6148.5
43      Time and savings deposits258.3103.5164.8370.0412.3210.7438.3501.9
44      Foreign deposits-17.8-7.24.5-9.9-7.92.6-6.4-14.1
45      Postal savings system deposits0.00.00.00.00.00.00.00.0
46   Debt securities709.30.6-96.471.9-68.8-426.7-52.1148.9
47      Open market paper-101.316.7-1.5-1.8-0.6-3.8-0.10.2
48      Treasury securities166.6506.9318.5-185.7223.5-28.7-228.4216.2
49      Agency- and GSE-backed securities (2)289.3-708.24.088.3-66.9-30.3104.0194.1
50      Municipal securities51.7153.268.3-15.5-121.9-52.5-59.5-60.1
51      Corporate and foreign bonds303.032.0-485.8186.5-102.9-311.3131.9-201.5
52   Loans-144.5-29.616.0-0.816.956.557.9-49.2
53      Short term-161.0-47.411.7-6.230.557.347.6-54.0
54      Long term (mortgages)16.617.84.35.4-13.5-0.810.34.9
55   Equity and investment fund shares-308.4-53.6-23.0106.8210.8578.5522.749.1
56      Corporate equities-208.2-13.3-225.1-253.1-182.5137.5167.715.9
57      Mutual fund shares-28.6333.8214.3148.3304.5230.8241.558.3
58      Money market fund shares234.5-267.8-183.4-20.52.330.3-25.9-44.7
59      Equity in noncorporate business-306.1-107.6167.3231.590.0181.6139.419.6
60      Equity investment under Public-Private
          Inv. Program (3)
0.01.24.00.5-3.4-1.80.00.0
61   Insurance, pension and standardized guarantee
       schemes
615.9549.9643.5628.5456.4546.9352.4505.9
62      Insurance receivables due from
          property-casualty insurance companies
11.08.7-35.227.6-17.737.8-8.423.4
63      Life insurance reserves67.515.84.870.4-33.88.133.536.4
64      Pension entitlements (4)493.3500.4634.3497.3496.3488.4311.1435.6
65      Non-life insurance reserves at life
          insurance companies
17.68.417.114.8-1.80.45.83.1
66      Retiree Health Care Funds26.516.622.518.513.312.210.47.4
67Net incurrence of liabilities26.3105.3-86.3-61.8264.4240.1420.5395.7
68   Debt securities (municipals)10.76.8-1.5-7.4-13.8-14.4-6.7-8.0
69   Loans-9.761.9-58.1-55.1273.6250.5422.9400.8
70      Short term-115.5-27.699.618.8341.0241.5376.1256.7
71         Consumer credit34.3-94.6-28.1111.1164.1175.8221.8232.7
72         Depository institution loans n.e.c.4.628.350.1-54.9110.828.2121.1100.5
73         Other loans and advances-154.538.777.6-37.466.137.533.2-76.5
74      Long term (mortgages)105.889.5-157.8-73.9-67.59.046.8144.1
75   Insurance, pension and standardized guarantee
       schemes
3.2-4.92.6-0.50.63.01.21.7
76   Other accounts payable (trade debt)22.241.4-29.41.24.01.03.11.2
  Addendum:
77Net lending (+) or borrowing (-), financial
    account (lines 40-67)
1,263.1559.1834.81,528.4932.8862.3966.9895.2
                       Other changes in volume
                         account
78Total other volume changes1,463.092.8964.6564.4249.01,371.6580.71,093.1
79   Net investment in consumer durable goods134.650.386.9119.0167.1185.7213.4241.9
80   Disaster losses-8.30.00.00.0-20.90.00.00.0
81   Other volume changes447.8124.0650.1-420.728.9788.1-29.7510.0
82   Less: Statistical discrepancy (lines 38-77) (5)-889.081.5-227.6-866.1-73.9-397.7-397.0-341.2
                                           
                                              Revaluation account
83   Nonfinancial assets-3,968.0-1,095.8-472.870.51,356.22,031.41,117.11,318.6
84      Real estate-3,933.5-1,048.4-381.748.21,397.12,121.41,216.31,374.5
85      Consumer durable goods-32.0-40.8-88.317.7-41.5-93.4-101.7-58.0
86      Equipment-1.3-4.7-2.42.5-0.70.31.01.1
87      Intellectual property products-1.2-2.0-0.42.21.23.11.51.0
88   Financial assets-8,441.42,071.82,992.4-30.83,298.25,656.62,556.6200.2
89      Corporate equities-4,165.31,692.81,666.2-185.51,567.22,922.11,343.2-212.8
90      Mutual fund shares-1,494.0724.3408.4-145.9514.0768.0234.6-275.3
91      Equity in noncorporate business-1,177.7-1,109.0449.8415.4671.0966.7628.0709.9
92      Equity investment under Public-Private
          Inv. Program
0.0-0.3-1.00.90.00.00.00.0
93      Insurance, pension and standardized
          guarantee schemes
-1,604.3764.2468.9-115.7546.0999.8350.8-21.6
94Changes in net worth due to nominal holding
    gains/losses
-12,409.4976.02,519.639.74,654.37,688.03,673.71,518.8
                    Changes in balance sheet account
95Change in net worth (lines 32+38+78+94)-10,417.31,764.64,134.81,312.35,855.19,659.74,970.93,374.0
                       Balance sheet account (end
                         of period)
96Total assets70,342.971,920.075,792.976,901.782,818.492,630.197,976.5101,696.8
97   Nonfinancial assets24,388.323,399.023,054.423,287.424,880.527,231.828,706.730,473.6
98      Real estate19,454.118,442.618,085.918,161.819,613.921,853.023,200.524,766.9
99      Consumer durable goods4,578.64,588.14,586.74,723.34,848.94,941.25,052.95,236.8
100      Equipment264.0271.9280.1293.0301.8311.6320.4331.0
101      Intellectual property products91.696.4101.8109.4115.9126.0132.8138.9
102   Financial assets45,954.548,520.952,738.553,614.257,937.965,398.369,269.871,223.2
103      Currency and deposits6,591.36,773.96,932.97,593.18,116.18,463.49,032.89,669.3
104         Currency and transferable deposits295.0395.7423.5723.7887.41,021.41,096.01,244.5
105         Foreign deposits69.962.767.357.449.552.145.731.6
106         Time and savings deposits6,226.46,315.46,442.26,812.17,179.27,389.97,891.08,393.2
107         Postal savings system deposits0.00.00.00.00.00.00.00.0
108      Debt securities5,104.74,947.94,859.44,322.74,137.54,335.33,993.14,440.0
109         Open market paper6.022.721.119.418.815.014.915.1
110         Treasury securities156.9835.81,098.6673.9919.51,143.5839.61,132.7
111         Agency- and GSE-backed securities (2)1,009.7299.4274.4292.2199.1266.9298.9521.3
112         Municipal securities1,916.81,987.72,063.91,955.81,813.31,823.51,684.81,630.0
113         Corporate and foreign bonds2,015.41,802.41,401.41,381.31,186.91,086.41,155.01,141.0
114      Loans983.4956.1972.1971.3977.11,033.61,091.51,042.3
115         Short term856.1811.0822.7816.6836.0893.2940.8886.8
116         Long term (mortgages)127.3145.0149.3154.7141.2140.4150.7155.5
117      Equity and investment fund shares17,377.718,643.321,158.821,361.524,322.829,562.632,293.632,562.1
118         Corporate equities5,673.37,352.88,793.98,401.59,786.212,845.814,356.714,159.8
119         Mutual fund shares2,792.33,850.34,473.04,432.95,251.46,250.26,726.36,504.4
120         Money market fund shares1,578.11,310.31,126.91,106.51,108.81,139.11,113.21,068.4
121         Equity in noncorporate business7,334.06,128.96,761.17,415.58,174.79,327.510,097.510,829.4
122         Equity investment under Public-Private
             Inv. Program (3)
0.00.93.85.21.80.00.00.0
123      Insurance, pension and standardized
          guarantee schemes
15,897.517,199.818,815.519,365.720,384.322,003.522,858.823,509.5
124         Insurance receivables due from
             property-casualty insurance companies
337.3346.0310.8338.4320.7358.5350.1373.5
125         Life insurance reserves1,050.21,109.51,137.51,199.31,186.41,233.01,282.81,310.6
126         Pension entitlements (4)14,081.015,290.216,873.617,301.118,338.819,860.820,658.621,247.6
127         Non-life insurance reserves at life
             insurance companies
265.2273.6290.7305.5303.7304.2310.0313.1
128         Retiree Health Care Funds163.8180.4202.9221.4234.8246.9257.3264.7
129Total liabilities and net worth70,342.971,920.075,792.976,901.782,818.492,630.197,976.5101,696.8
130   Liabilities14,296.114,108.613,846.913,643.313,705.013,857.014,232.514,578.8
131      Debt securities (municipals)266.4273.2271.8264.3250.5236.1229.4221.5
132      Loans13,765.213,534.413,300.813,104.013,174.813,337.213,715.014,066.3
133         Short term2,968.72,876.33,122.63,146.83,426.13,667.64,043.74,298.7
134            Consumer credit2,644.22,555.42,647.22,758.32,920.43,096.23,318.03,535.7
135            Depository institution loans n.e.c.26.4-15.961.011.562.690.8211.9325.7
136            Other loans and advances298.1336.7414.4377.0443.1480.6513.8437.3
137         Long term (mortgages)10,796.510,658.110,178.29,957.19,748.79,669.59,671.39,767.6
138      Insurance, pension and standardized
          guarantee schemes
27.822.925.525.025.728.729.931.6
139      Other accounts payable (trade debt)236.7278.2248.8250.0254.0255.0258.1259.4
140   Net worth56,046.857,811.361,946.163,258.469,113.578,773.183,744.087,118.0
       Footnotes


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