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Annual:
F.101 Households and Nonprofit Organizations

   
    1946    
 
 
    2019
Millions of Dollars
Line Name 2019 Preceding
Period
Year Ago
from Period
1
Personal income
18,608,313 17,819,161 17,819,161
2
- Personal current taxes
2,183,159 2,077,639 2,077,639
3
= Disposable personal income
16,425,154 15,741,522 15,741,522
4
- Personal outlays
15,122,342 14,531,130 14,531,130
5
= Personal saving, NIPA
1,302,812 1,210,392 1,210,392
6
+ Government insurance and pension reserves
-2,068 -2,046 -2,046
7
- Contr. for govt. soc. insur., U.S.-affiliated areas
5,427 5,168 5,168
8
+ Net investment in consumer durables
301,949 266,636 266,636
9
+ Consumption of fixed capital
1,723,595 1,683,683 1,683,683
10
- Net capital transfers paid
18,424 9,801 9,801
11
= Gross saving less net capital transfers paid
3,302,438 3,143,696 3,143,696
12
Gross investment
3,801,982 3,344,752 3,344,752
13
Capital expenditures
2,298,432 2,222,136 2,222,136
14
Consumer durable goods
1,423,719 1,375,934 1,375,934
15
Residential
670,943 654,524 654,524
16
Nonprofit nonresidential
216,815 204,148 204,148
17
Nonproduced nonfinancial assets
-13,045 -12,470 -12,470
18
Net lending (+) or net borrowing (-)
1,503,551 1,122,616 1,122,616
19
Net acquisition of financial assets
2,042,348 1,629,769 1,629,769
20
Foreign deposits
-2,621 821 821
21
Checkable deposits and currency
19,826 -103,280 -103,280
22
Time and savings deposits
527,119 389,865 389,865
23
Money market fund shares
408,390 181,159 181,159
24
Debt securities
242,883 795,960 795,960
25
Treasury securities
227,817 609,605 609,605
26
Agency- and GSE-backed securities
130,286 201,306 201,306
27
Municipal securities
-52,833 -9,995 -9,995
28
Corporate and foreign bonds
-62,387 -4,956 -4,956
29
Loans
8,567 -20,669 -20,669
30
Other loans and advances
23,747 -4,037 -4,037
31
Mortgages
-11,629 -12,865 -12,865
32
Consumer credit (student loans)
-3,551 -3,767 -3,767
33
Corporate equities
11,097 -95,876 -95,876
34
Mutual fund shares
351,223 -24,080 -24,080
35
Trade receivables
4,756 4,252 4,252
36
Life insurance reserves
16,705 49,431 49,431
37
Pension entitlements
406,786 393,690 393,690
38
Equity in noncorporate business
6,040 6,366 6,366
39
Miscellaneous assets
41,577 52,130 52,130
40
Net increase in liabilities
538,797 507,153 507,153
41
Debt securities (municipal securities)
-3,296 -2,223 -2,223
42
Loans
527,551 494,052 494,052
43
Home mortgages
294,824 286,488 286,488
44
Consumer credit
182,637 181,604 181,604
45
Depository institution loans n.e.c.
8,601 38,539 38,539
46
Other loans and advances
29,089 -24,879 -24,879
47
Commercial mortgages
12,400 12,300 12,300
48
Trade payables
13,048 13,404 13,404
49
Deferred and unpaid life insurance premiums
1,494 1,920 1,920
50
Discrepancy
-499,545 -201,056 -201,056
   

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