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Integrated Macroeconomic Accounts for the United States Table

S.5.a Nonfinancial Corporate Business (1)
[Billions of Dollars]
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)
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Line      2008       2009       2010       2011       2012       2013       2014       2015   
                                              
                                                 Current account
1Gross value added7,256.86,859.87,238.77,592.38,011.98,305.28,716.99,059.3
2Less: Consumption of fixed capital1,093.91,092.01,094.61,139.21,186.21,228.21,285.71,336.1
3Equals: Net value added6,162.85,767.86,144.26,453.16,825.77,077.07,431.27,723.3
4   Compensation of employees (paid)4,358.04,088.44,158.74,363.44,593.34,749.75,004.25,269.3
5      Wages and salaries3,619.53,377.53,446.13,622.93,826.43,955.24,182.14,412.3
6      Employers' social contributions738.5710.9712.6740.4766.9794.4822.1857.0
7   Taxes on production and imports less subsidies632.7605.9633.0670.6690.4721.5746.6764.6
8   Operating surplus, net1,172.21,073.51,352.51,419.11,542.01,605.81,680.41,689.4
9Net national income/Balance of primary incomes,
    net
574.5630.6907.3903.4917.31,020.11,003.0933.9
10   Operating surplus, net1,172.21,073.51,352.51,419.11,542.01,605.81,680.41,689.4
11   Property income (received)626.9563.8580.3549.6531.0541.1544.2549.7
12      Interest302.8214.6177.5176.3162.2150.9150.8152.6
13      Distributed income of corporations
          (dividends)
108.0139.0134.494.8106.9100.6102.1124.4
14      Reinvested earnings on U.S. direct
          investment abroad
216.1210.2268.3278.5261.8289.6291.3272.8
15   Less: Uses of property income (paid)1,224.61,006.81,025.41,065.31,155.71,126.81,221.61,305.2
16      Interest584.5480.0444.5444.3438.2410.3418.8442.2
17      Distributed income of corporations
          (dividends)
582.2490.4509.9535.8624.8632.5700.5776.1
18      Reinvested earnings on foreign direct
          investment
32.118.151.863.570.261.878.767.6
19      Rent25.918.319.221.722.522.123.519.3
20Net national income/Balance of primary incomes,
    net
574.5630.6907.3903.4917.31,020.11,003.0933.9
21Less: Current taxes on income, wealth, etc. (paid)227.4177.8220.6228.8266.7283.6291.8281.1
22Less: Other current transfers (paid)50.371.883.390.493.994.792.1104.6
23Equals: Disposable income, net296.7381.0603.5584.2556.7641.8619.2548.2
24Equals: Net saving296.7381.0603.5584.2556.7641.8619.2548.2
                                              
                                                 Capital account
25Net saving less capital transfers300.4342.7582.5590.6573.7647.5625.8551.4
26   Net saving296.7381.0603.5584.2556.7641.8619.2548.2
27   Less: Capital transfers paid (net)-3.738.320.9-6.4-17.0-5.7-6.7-3.2
28Capital formation, net266.6-74.6143.3199.1320.3351.8421.9464.2
        Gross fixed capital formation (acquisition
          of
29   produced nonfinancial assets)1,372.71,141.91,181.01,303.91,439.91,504.91,635.81,674.2
30   Less: Consumption of fixed capital1,093.91,092.01,094.61,139.21,186.21,228.21,285.71,336.1
31   Acquisition of nonproduced nonfinancial assets17.66.3-1.1-0.50.81.41.729.6
32   Change in private inventories-29.7-130.857.934.965.873.670.196.4
33Net lending (+) or borrowing (-), capital
    account (lines 25-28)
33.8417.2439.3391.4253.4295.7203.987.1
                                         Financial
                                           account
34Net lending (+) or borrowing (-) (line 33)33.8417.2439.3391.4253.4295.7203.987.1
35Net acquisition of financial assets-608.8299.8632.7496.8506.3989.6922.71,455.0
36   Currency and deposits-214.0254.5148.638.32.8149.715.333.4
37      Currency and transferable deposits-59.070.879.630.8-31.071.841.167.0
38      Time and savings deposits-129.4176.959.913.233.335.8-18.0-16.2
39      Foreign deposits-25.56.89.1-5.80.642.1-7.8-17.4
40   Debt securities-25.716.315.6-8.5-12.5-13.211.5-5.4
41      Open market paper-12.2-1.312.0-0.1-8.4-6.63.7-1.5
42      Treasury securities-7.912.55.1-5.1-3.5-0.62.9-3.6
43      Agency- and GSE-backed securities (2)-2.64.21.7-1.7-1.2-4.25.0-1.2
44      Municipal securities-3.00.9-3.2-1.60.6-1.70.10.9
45   Loans-11.1-7.10.22.1-4.0-4.015.929.1
46      Short term (security repos and consumer
          credit)
-3.4-3.01.72.6-2.1-5.614.06.9
47      Long term (mortgages)-7.7-4.1-1.6-0.6-1.91.61.922.1
48   Equity and investment fund shares415.4223.2178.8360.2357.1346.4342.4282.3
49      Money market fund shares178.5-71.4-157.7-35.442.531.421.918.6
50      Mutual fund shares-16.535.311.1-12.8-5.93.415.27.4
51      U.S. direct investment abroad254.5268.6298.6400.1317.9296.9291.1260.4
52      Equity in government-sponsored enterprises
          (2)
-0.10.00.10.00.00.00.10.1
53      Investment in finance company subsidiaries-1.1-9.326.78.42.614.714.1-4.1
54   Insurance, pension and standardized guarantee
       schemes (3)
10.9-4.011.712.38.0-6.010.42.3
55   Other accounts receivable-784.4-183.1277.992.5154.8516.7527.11,113.4
56      Trade receivables-168.2-29.596.983.552.7261.6104.00.1
57      Other (miscellaneous assets)-616.1-153.6181.08.9102.1255.1423.11,113.3
58Net incurrence of liabilities338.9-248.7487.6894.3985.5926.51,382.21,317.5
59   Debt securities190.6175.7235.6203.5352.1294.0310.6408.0
60      Open market paper7.7-73.124.533.414.014.237.5-5.4
61      Municipal securities67.437.533.38.213.82.0-0.214.7
62      Corporate bonds115.6211.3177.8161.9324.2277.9273.4398.7
63   Loans63.4-506.9-283.2122.4-62.8100.795.0101.6
64      Short term132.1-394.8-177.5212.367.9115.4133.360.6
65         Depository institution loans n.e.c.64.2-234.0-87.0152.1101.573.870.378.1
66         Other loans and advances68.0-160.8-90.460.2-33.541.763.1-17.5
67      Long term (mortgages)-68.8-112.1-105.7-89.8-130.7-14.8-38.341.0
68   Equity and investment fund shares-117.660.8-88.9-255.8-155.7-165.8-209.3-113.5
69      Corporate equities-315.6-51.2-250.7-454.6-344.9-352.9-394.5-549.6
70      Foreign direct investment in the United
          States
197.9111.9161.7198.8189.2187.1185.2436.2
71   Insurance, pension and standardized guarantee
       schemes
117.329.7-5.3-1.2-1.2133.449.1115.4
72      Pension fund contributions payable14.7-8.615.43.0-12.3-2.5-2.915.2
73      Claim of pension fund on sponsor102.638.3-20.7-4.111.1135.851.9100.3
74   Other accounts payable85.2-7.9629.5825.3853.2564.21,136.7806.0
75      Trade payables-225.2-82.6156.325.265.5101.2150.12.6
76      Taxes payable3.1-3.37.28.82.3-9.1-1.4-1.3
77      Miscellaneous liabilities307.377.9466.0791.3785.3472.1988.1804.7
  Addendum:
78Net lending (+) or borrowing (-), financial
    account (lines 35-58)
-947.7548.5145.2-397.5-479.263.1-459.5137.5
                       Other changes in volume
                         account
79Total other volume changes-96.2-65.2205.2-60.0-419.3200.5-119.1622.8
80   Disaster losses-5.80.00.00.0-6.90.00.00.0
81   Other volume changes854.1-189.8458.4660.7306.0436.5548.4624.8
82   Less: Statistical discrepancy (lines 33-78) (4)981.5-131.2294.1789.0732.6232.7663.4-50.4
83   Less: Inventory valuation adjustment-37.06.7-41.0-68.3-14.23.34.152.4
                                           
                                              Revaluation account
84   Nonfinancial assets-1,186.7-2,301.3462.9592.0505.71,194.3932.5796.0
85      Real estate-1,231.3-2,319.8330.3453.8461.81,130.1972.6863.9
86      Equipment99.9-16.141.176.613.529.0-57.6-38.9
87      Intellectual property products13.23.122.527.919.941.121.020.7
88      Inventories-68.431.669.133.710.5-5.9-3.4-49.7
89   Financial assets-180.5-71.3-136.8-33.050.1-38.4-33.0-56.7
90      Mutual fund shares-55.220.413.6-8.119.428.18.7-6.2
91      Direct investment abroad-125.3-91.7-150.5-25.030.7-66.4-41.6-50.4
92   Liabilities-4,983.92,203.11,733.0235.11,804.85,040.62,453.5-566.0
93      Corporate equity-5,549.72,665.11,926.7308.22,025.55,371.72,611.3-542.6
94      Foreign direct investment in the United
          States
-25.9-215.0-13.9-72.8-40.5-5.0-4.9-67.0
95      Insurance, pension and standardized
          guarantee schemes
591.7-247.1-179.8-0.3-180.1-326.1-152.943.6
96Changes in net worth due to nominal holding
    gains/losses
3,616.6-4,575.6-1,406.9323.8-1,249.0-3,884.7-1,554.01,305.3
                    Changes in balance sheet account
97Change in net worth (lines 28+33+79+96) (5)3,820.8-4,298.2-619.1854.4-1,094.6-3,036.7-1,047.22,479.5
                       Balance sheet account (end
                         of period)
98Total assets29,338.627,333.728,713.830,073.531,476.734,160.136,504.939,113.3
99   Nonfinancial assets (6)16,415.414,016.314,697.015,564.616,388.317,899.419,234.920,398.6
100      Real estate9,183.66,917.87,301.67,800.18,329.59,530.210,632.711,608.6
101      Equipment3,857.23,793.13,853.64,008.04,139.44,287.44,370.34,480.1
102      Intellectual property products1,564.11,600.71,669.11,746.91,819.41,917.42,004.82,088.5
103      Inventories1,810.51,704.61,872.72,009.62,100.02,164.42,227.02,221.4
104   Financial assets12,923.213,317.514,016.814,508.915,088.416,260.717,269.918,714.6
105      Currency and deposits420.7675.2823.8862.1864.91,014.71,030.01,063.4
106         Currency and transferable deposits84.2154.9234.5265.3234.3306.1347.2414.2
107         Time and savings deposits311.9488.8548.7561.9595.2631.1613.1596.9
108         Foreign deposits24.731.540.634.835.477.569.752.3
109      Debt securities124.1140.4155.9147.4135.0121.8133.3127.9
110         Open market paper57.356.068.067.959.552.956.555.0
111         Treasury securities30.543.048.043.039.438.841.738.0
112         Agency- and GSE-backed securities (2)10.214.316.014.313.18.913.912.7
113         Municipal securities26.227.123.922.322.921.221.222.2
114      Loans87.880.684.586.682.678.694.5123.6
115         Short term54.151.156.559.257.151.565.572.4
116            Security repurchases7.27.912.112.69.78.721.727.8
117            Consumer credit46.943.244.446.647.442.843.844.6
118         Long term (mortgages)33.629.528.027.425.527.129.051.2
119      Equity and investment fund shares4,106.34,258.24,263.04,590.14,997.35,305.45,614.95,840.8
120         Money market fund shares727.0655.5497.8462.4504.9536.3558.2576.8
121         Mutual fund shares106.3162.0186.8165.9179.3210.7234.6235.7
122         U.S. direct investment abroad3,192.13,369.03,517.13,892.34,240.94,471.34,720.84,930.7
123         Equity in government-sponsored
             enterprises (2)
0.40.40.60.50.60.60.70.8
124         Investment in finance company
             subsidiaries
80.571.260.769.171.786.4100.596.7
125      Insurance, pension and standardized
          guarantee schemes (3)
310.9307.0318.7331.0339.0333.0343.3345.6
126      Other accounts receivable7,873.47,856.18,370.88,491.78,669.59,407.210,053.911,213.3
127         Trade receivables2,094.02,064.52,157.62,241.12,293.92,555.42,659.52,659.6
128         Other (miscellaneous assets)5,779.55,791.66,213.26,250.56,375.76,851.87,394.48,553.7
129Total liabilities and net worth29,338.627,333.728,713.830,073.531,476.734,160.136,504.939,113.3
130   Liabilities22,836.525,129.727,128.927,634.230,132.035,852.139,244.139,373.0
131      Debt securities3,547.03,722.63,958.24,161.84,513.84,807.95,118.55,526.5
132         Open market paper131.558.482.9116.3130.3144.5182.0176.5
133         Municipal securities434.1471.6504.9513.1526.9528.9528.7543.4
134         Corporate bonds2,981.43,192.63,370.43,532.43,856.64,134.44,407.84,806.5
135      Loans3,033.12,442.12,092.02,214.52,195.22,280.32,375.82,467.0
136         Short term2,163.81,684.81,425.31,637.61,749.01,848.91,982.22,026.1
137            Depository institution loans n.e.c.779.9545.8477.1629.2712.1785.8856.0935.8
138            Other loans and advances1,383.91,139.0948.11,008.31,036.91,063.11,126.21,090.3
139         Long term (mortgages)869.3757.2666.7576.9446.2431.4393.6440.9
140      Equity and investment fund shares11,863.814,374.816,198.616,178.318,007.523,208.525,605.624,882.5
141         Corporate equity9,612.212,226.213,902.213,755.815,436.320,455.122,672.021,579.7
142         Foreign direct investment in the United
             States
2,251.72,148.62,296.42,422.52,571.22,753.32,933.63,302.8
143      Insurance, pension and standardized
          guarantee schemes
771.7551.4528.3591.6459.3351.0252.8446.2
144         Pension fund contributions payable84.075.490.893.881.479.076.191.3
145         Claim of pension fund on sponsor687.7476.0437.5497.8377.9272.0176.7355.0
146      Other accounts payable3,620.94,038.84,351.74,488.14,956.25,204.45,891.46,050.7
147         Trade payables1,672.71,590.11,746.41,771.61,837.11,938.32,088.42,091.0
148         Taxes payable39.035.742.951.754.044.943.542.2
149         Miscellaneous liabilities1,909.22,413.12,562.52,664.93,065.13,221.23,759.53,917.5
150   Net worth6,502.22,204.01,584.92,439.31,344.7-1,692.0-2,739.2-259.7
       Footnotes


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