Current Account
line 1
Gross value added
2025
3,897,177
Millions of U.S. Dollars
3,700,206
Millions of U.S. Dollars
3,700,206
Millions of U.S. Dollars
Mil. of U.S. $
line 2
Less: Consumption of fixed capital
2025
913,931
Millions of U.S. Dollars
878,289
Millions of U.S. Dollars
878,289
Millions of U.S. Dollars
Mil. of U.S. $
line 3
Equals: Net value added
2025
2,983,246
Millions of U.S. Dollars
2,821,917
Millions of U.S. Dollars
2,821,917
Millions of U.S. Dollars
Mil. of U.S. $
line 4
Compensation paid by households and NPISHs
2025
1,366,225
Millions of U.S. Dollars
1,297,431
Millions of U.S. Dollars
1,297,431
Millions of U.S. Dollars
Mil. of U.S. $
line 5
Wages and salaries
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 6
Employers’ social contributions
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 7
Taxes on production and imports less subsidies
2025
281,828
Millions of U.S. Dollars
264,235
Millions of U.S. Dollars
264,235
Millions of U.S. Dollars
Mil. of U.S. $
line 8
Operating surplus, net
2025
1,335,194
Millions of U.S. Dollars
1,260,251
Millions of U.S. Dollars
1,260,251
Millions of U.S. Dollars
Mil. of U.S. $
line 9
Net national income/Balance of primary incomes, net
2025
22,611,787
Millions of U.S. Dollars
21,724,557
Millions of U.S. Dollars
21,724,557
Millions of U.S. Dollars
Mil. of U.S. $
line 10
Operating surplus, net
2025
1,335,194
Millions of U.S. Dollars
1,260,251
Millions of U.S. Dollars
1,260,251
Millions of U.S. Dollars
Mil. of U.S. $
line 11
Compensation of employees (received)
2025
15,744,982
Millions of U.S. Dollars
15,027,061
Millions of U.S. Dollars
15,027,061
Millions of U.S. Dollars
Mil. of U.S. $
line 12
Wages and salaries
2025
12,975,560
Millions of U.S. Dollars
12,387,929
Millions of U.S. Dollars
12,387,929
Millions of U.S. Dollars
Mil. of U.S. $
line 13
Employers’ social contributions
2025
2,769,423
Millions of U.S. Dollars
2,639,132
Millions of U.S. Dollars
2,639,132
Millions of U.S. Dollars
Mil. of U.S. $
line 14
Property income (received)
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 15
Interest
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 16
Distributed income of corporations
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 17
Dividends
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 18
Withdrawals from income of quasi-corporations
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 19
Less: Uses of property income (interest paid)
.
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
.
Millions of U.S. Dollars
Mil. of U.S. $
line 20
Net national income/Balance of primary incomes, net
2025
22,611,787
Millions of U.S. Dollars
21,724,557
Millions of U.S. Dollars
21,724,557
Millions of U.S. Dollars
Mil. of U.S. $
line 21
Less: Current taxes on income, wealth, etc. (paid)
2025
3,236,577
Millions of U.S. Dollars
2,988,243
Millions of U.S. Dollars
2,988,243
Millions of U.S. Dollars
Mil. of U.S. $
line 22
Plus: Social benefits (received)
2025
4,848,209
Millions of U.S. Dollars
4,455,695
Millions of U.S. Dollars
4,455,695
Millions of U.S. Dollars
Mil. of U.S. $
line 23
Less: Social contributions (paid)
2025
2,021,324
Millions of U.S. Dollars
1,923,151
Millions of U.S. Dollars
1,923,151
Millions of U.S. Dollars
Mil. of U.S. $
line 24
Plus: Other current transfers (received)
2025
106,821
Millions of U.S. Dollars
99,724
Millions of U.S. Dollars
99,724
Millions of U.S. Dollars
Mil. of U.S. $
line 25
Less: Other current transfers (paid)
2025
291,411
Millions of U.S. Dollars
279,341
Millions of U.S. Dollars
279,341
Millions of U.S. Dollars
Mil. of U.S. $
line 26
Equals: Disposable income, net
2025
22,017,506
Millions of U.S. Dollars
21,089,241
Millions of U.S. Dollars
21,089,241
Millions of U.S. Dollars
Mil. of U.S. $
line 27
Less: Final consumption expenditures
2025
20,956,035
Millions of U.S. Dollars
19,896,009
Millions of U.S. Dollars
19,896,009
Millions of U.S. Dollars
Mil. of U.S. $
line 28
Equals: Net saving
2025
1,061,471
Millions of U.S. Dollars
1,193,232
Millions of U.S. Dollars
1,193,232
Millions of U.S. Dollars
Mil. of U.S. $
Capital account
line 29
Net saving less capital transfers
2025
1,066,976
Millions of U.S. Dollars
1,242,423
Millions of U.S. Dollars
1,242,423
Millions of U.S. Dollars
Mil. of U.S. $
line 30
Net saving
2025
1,061,471
Millions of U.S. Dollars
1,193,232
Millions of U.S. Dollars
1,193,232
Millions of U.S. Dollars
Mil. of U.S. $
line 31
Less: Capital transfers paid (net)
2025
-5,505
Millions of U.S. Dollars
-49,191
Millions of U.S. Dollars
-49,191
Millions of U.S. Dollars
Mil. of U.S. $
line 32
Capital formation, net
2025
379,738
Millions of U.S. Dollars
381,853
Millions of U.S. Dollars
381,853
Millions of U.S. Dollars
Mil. of U.S. $
line 33
Gross fixed capital formation, excluding consumer durables
2025
1,311,995
Millions of U.S. Dollars
1,277,281
Millions of U.S. Dollars
1,277,281
Millions of U.S. Dollars
Mil. of U.S. $
line 34
Residential
2025
985,911
Millions of U.S. Dollars
971,261
Millions of U.S. Dollars
971,261
Millions of U.S. Dollars
Mil. of U.S. $
line 35
Nonresidential (nonprofit organizations)
2025
326,084
Millions of U.S. Dollars
306,020
Millions of U.S. Dollars
306,020
Millions of U.S. Dollars
Mil. of U.S. $
line 36
Less: Consumption of fixed capital
2025
913,931
Millions of U.S. Dollars
878,289
Millions of U.S. Dollars
878,289
Millions of U.S. Dollars
Mil. of U.S. $
line 37
Acquisition of nonproduced nonfinancial assets
2025
-18,327
Millions of U.S. Dollars
-17,139
Millions of U.S. Dollars
-17,139
Millions of U.S. Dollars
Mil. of U.S. $
line 38
Net lending (+) or borrowing (-), capital account (lines 29-32)
2025
687,238
Millions of U.S. Dollars
860,570
Millions of U.S. Dollars
860,570
Millions of U.S. Dollars
Mil. of U.S. $
Financial account
line 39
Net lending (+) or borrowing (-) (line 38)
2025
687,238
Millions of U.S. Dollars
860,570
Millions of U.S. Dollars
860,570
Millions of U.S. Dollars
Mil. of U.S. $
line 40
Net acquisition of financial assets
2025
2,171,787
Millions of U.S. Dollars
2,593,092
Millions of U.S. Dollars
2,593,092
Millions of U.S. Dollars
Mil. of U.S. $
line 41
Currency and deposits
2025
710,030
Millions of U.S. Dollars
153,617
Millions of U.S. Dollars
153,617
Millions of U.S. Dollars
Mil. of U.S. $
line 42
Currency and transferable deposits
2025
1,298,612
Millions of U.S. Dollars
187,355
Millions of U.S. Dollars
187,355
Millions of U.S. Dollars
Mil. of U.S. $
line 43
Time and savings deposits
2025
-600,252
Millions of U.S. Dollars
-39,514
Millions of U.S. Dollars
-39,514
Millions of U.S. Dollars
Mil. of U.S. $
line 44
Foreign deposits
2025
11,669
Millions of U.S. Dollars
5,776
Millions of U.S. Dollars
5,776
Millions of U.S. Dollars
Mil. of U.S. $
line 45
Postal savings system deposits
2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 46
Debt securities
2025
-281,011
Millions of U.S. Dollars
46,695
Millions of U.S. Dollars
46,695
Millions of U.S. Dollars
Mil. of U.S. $
line 47
Treasury securities
2025
219,925
Millions of U.S. Dollars
144,989
Millions of U.S. Dollars
144,989
Millions of U.S. Dollars
Mil. of U.S. $
line 48
Agency- and GSE-backed securities
2025
-127,188
Millions of U.S. Dollars
70,179
Millions of U.S. Dollars
70,179
Millions of U.S. Dollars
Mil. of U.S. $
line 49
Municipal securities
2025
101,881
Millions of U.S. Dollars
93,901
Millions of U.S. Dollars
93,901
Millions of U.S. Dollars
Mil. of U.S. $
line 50
Corporate and foreign bonds
2025
-475,629
Millions of U.S. Dollars
-262,374
Millions of U.S. Dollars
-262,374
Millions of U.S. Dollars
Mil. of U.S. $
line 51
Loans
2025
125,571
Millions of U.S. Dollars
8,135
Millions of U.S. Dollars
8,135
Millions of U.S. Dollars
Mil. of U.S. $
line 52
Short term
2025
131,426
Millions of U.S. Dollars
11,685
Millions of U.S. Dollars
11,685
Millions of U.S. Dollars
Mil. of U.S. $
line 53
Long term (mortgages)
2025
-5,855
Millions of U.S. Dollars
-3,550
Millions of U.S. Dollars
-3,550
Millions of U.S. Dollars
Mil. of U.S. $
line 54
Equity and investment fund shares
2025
1,156,662
Millions of U.S. Dollars
1,767,267
Millions of U.S. Dollars
1,767,267
Millions of U.S. Dollars
Mil. of U.S. $
line 55
Corporate equities
2025
753,275
Millions of U.S. Dollars
993,041
Millions of U.S. Dollars
993,041
Millions of U.S. Dollars
Mil. of U.S. $
line 56
Mutual fund shares
2025
-189,840
Millions of U.S. Dollars
3,096
Millions of U.S. Dollars
3,096
Millions of U.S. Dollars
Mil. of U.S. $
line 57
Money market fund shares
2025
611,397
Millions of U.S. Dollars
679,631
Millions of U.S. Dollars
679,631
Millions of U.S. Dollars
Mil. of U.S. $
line 58
Equity in noncorporate business
2025
-18,170
Millions of U.S. Dollars
91,499
Millions of U.S. Dollars
91,499
Millions of U.S. Dollars
Mil. of U.S. $
line 59
Equity investment under Public-Private Inv. Program
2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 60
Insurance, pension and standardized guarantee schemes
2025
424,424
Millions of U.S. Dollars
580,878
Millions of U.S. Dollars
580,878
Millions of U.S. Dollars
Mil. of U.S. $
line 61
Insurance receivables due from property-casualty insurance companies
2025
48,790
Millions of U.S. Dollars
58,221
Millions of U.S. Dollars
58,221
Millions of U.S. Dollars
Mil. of U.S. $
line 62
Life insurance reserves
2025
-10,122
Millions of U.S. Dollars
58,520
Millions of U.S. Dollars
58,520
Millions of U.S. Dollars
Mil. of U.S. $
line 63
Pension entitlements
2025
351,021
Millions of U.S. Dollars
430,421
Millions of U.S. Dollars
430,421
Millions of U.S. Dollars
Mil. of U.S. $
line 64
Non-life insurance reserves at life insurance companies
2025
-486
Millions of U.S. Dollars
7,959
Millions of U.S. Dollars
7,959
Millions of U.S. Dollars
Mil. of U.S. $
line 65
Retiree Health Care Funds
2025
35,221
Millions of U.S. Dollars
25,757
Millions of U.S. Dollars
25,757
Millions of U.S. Dollars
Mil. of U.S. $
line 66
Other accounts receivable (trade receivables)
2025
36,112
Millions of U.S. Dollars
36,500
Millions of U.S. Dollars
36,500
Millions of U.S. Dollars
Mil. of U.S. $
line 67
Net incurrence of liabilities
2025
725,115
Millions of U.S. Dollars
637,124
Millions of U.S. Dollars
637,124
Millions of U.S. Dollars
Mil. of U.S. $
line 68
Debt securities (municipals)
2025
16,196
Millions of U.S. Dollars
8,406
Millions of U.S. Dollars
8,406
Millions of U.S. Dollars
Mil. of U.S. $
line 69
Loans
2025
690,105
Millions of U.S. Dollars
610,652
Millions of U.S. Dollars
610,652
Millions of U.S. Dollars
Mil. of U.S. $
line 70
Short term
2025
259,664
Millions of U.S. Dollars
224,232
Millions of U.S. Dollars
224,232
Millions of U.S. Dollars
Mil. of U.S. $
line 71
Consumer credit
2025
114,168
Millions of U.S. Dollars
98,870
Millions of U.S. Dollars
98,870
Millions of U.S. Dollars
Mil. of U.S. $
line 72
Depository institution loans n.e.c.
2025
-9,767
Millions of U.S. Dollars
14,232
Millions of U.S. Dollars
14,232
Millions of U.S. Dollars
Mil. of U.S. $
line 73
Other loans and advances
2025
155,263
Millions of U.S. Dollars
111,130
Millions of U.S. Dollars
111,130
Millions of U.S. Dollars
Mil. of U.S. $
line 74
Long term (mortgages)
2025
430,441
Millions of U.S. Dollars
386,420
Millions of U.S. Dollars
386,420
Millions of U.S. Dollars
Mil. of U.S. $
line 75
Insurance, pension and standardized guarantee schemes
2025
1,610
Millions of U.S. Dollars
158
Millions of U.S. Dollars
158
Millions of U.S. Dollars
Mil. of U.S. $
line 76
Other accounts payable (trade debt)
2025
17,204
Millions of U.S. Dollars
17,908
Millions of U.S. Dollars
17,908
Millions of U.S. Dollars
Mil. of U.S. $
Addendum:
line 77
Net lending (+) or borrowing (-), financial account (lines 40-67)
2025
1,446,672
Millions of U.S. Dollars
1,955,968
Millions of U.S. Dollars
1,955,968
Millions of U.S. Dollars
Mil. of U.S. $
Other changes in volume account
line 78
Total other volume changes
2025
1,609,849
Millions of U.S. Dollars
1,503,999
Millions of U.S. Dollars
1,503,999
Millions of U.S. Dollars
Mil. of U.S. $
line 79
Net investment in consumer durable goods
2025
402,490
Millions of U.S. Dollars
344,578
Millions of U.S. Dollars
344,578
Millions of U.S. Dollars
Mil. of U.S. $
line 80
Disaster losses
2025
18,327
Millions of U.S. Dollars
3,988
Millions of U.S. Dollars
3,988
Millions of U.S. Dollars
Mil. of U.S. $
line 81
Other volume changes
2025
429,598
Millions of U.S. Dollars
60,036
Millions of U.S. Dollars
60,036
Millions of U.S. Dollars
Mil. of U.S. $
line 82
Less: Statistical discrepancy (lines 38-77)
2025
-759,434
Millions of U.S. Dollars
-1,095,398
Millions of U.S. Dollars
-1,095,398
Millions of U.S. Dollars
Mil. of U.S. $
Revaluation account
line 83
Nonfinancial assets
.
.
Millions of Dollars
.
Millions of Dollars
.
Millions of Dollars
Mil. of $
line 84
Real estate
2025
718,777
Millions of U.S. Dollars
1,777,212
Millions of U.S. Dollars
1,777,212
Millions of U.S. Dollars
Mil. of U.S. $
line 85
Consumer durable goods
2025
139,867
Millions of U.S. Dollars
-89,959
Millions of U.S. Dollars
-89,959
Millions of U.S. Dollars
Mil. of U.S. $
line 86
Equipment
2025
20,620
Millions of U.S. Dollars
12,109
Millions of U.S. Dollars
12,109
Millions of U.S. Dollars
Mil. of U.S. $
line 87
Intellectual property products
2025
5,130
Millions of U.S. Dollars
5,338
Millions of U.S. Dollars
5,338
Millions of U.S. Dollars
Mil. of U.S. $
line 88
Financial assets
.
.
Millions of Dollars
.
Millions of Dollars
.
Millions of Dollars
Mil. of $
line 89
Debt securities
2025
146,360
Millions of U.S. Dollars
-50,957
Millions of U.S. Dollars
-50,957
Millions of U.S. Dollars
Mil. of U.S. $
line 90
Corporate equities
2025
7,367,515
Millions of U.S. Dollars
6,192,675
Millions of U.S. Dollars
6,192,675
Millions of U.S. Dollars
Mil. of U.S. $
line 91
Mutual fund shares
2025
1,541,308
Millions of U.S. Dollars
1,241,341
Millions of U.S. Dollars
1,241,341
Millions of U.S. Dollars
Mil. of U.S. $
line 92
Equity in noncorporate business
2025
195,824
Millions of U.S. Dollars
158,113
Millions of U.S. Dollars
158,113
Millions of U.S. Dollars
Mil. of U.S. $
line 93
Equity investment under Public-Private Inv. Program
2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 94
Insurance, pension and standardized guarantee schemes
2025
1,669,291
Millions of U.S. Dollars
1,545,281
Millions of U.S. Dollars
1,545,281
Millions of U.S. Dollars
Mil. of U.S. $
line 95
Changes in net worth due to nominal holding gains/losses
.
.
Millions of Dollars
.
Millions of Dollars
.
Millions of Dollars
Mil. of $
Changes in balance sheet account
line 96
Change in net worth (lines 32+38+78+95)
2025
14,486,373
Millions of U.S. Dollars
13,538,539
Millions of U.S. Dollars
13,538,539
Millions of U.S. Dollars
Mil. of U.S. $
Balance sheet account (end of period)
line 97
Total assets
2025
205,613,279
Millions of U.S. Dollars
190,464,400
Millions of U.S. Dollars
190,464,400
Millions of U.S. Dollars
Mil. of U.S. $
line 98
Nonfinancial assets
2025
61,747,410
Millions of U.S. Dollars
60,083,108
Millions of U.S. Dollars
60,083,108
Millions of U.S. Dollars
Mil. of U.S. $
line 99
Real estate
2025
52,066,921
Millions of U.S. Dollars
51,014,588
Millions of U.S. Dollars
51,014,588
Millions of U.S. Dollars
Mil. of U.S. $
line 100
Consumer durable goods
2025
8,653,547
Millions of U.S. Dollars
8,111,190
Millions of U.S. Dollars
8,111,190
Millions of U.S. Dollars
Mil. of U.S. $
line 101
Equipment
2025
729,395
Millions of U.S. Dollars
681,682
Millions of U.S. Dollars
681,682
Millions of U.S. Dollars
Mil. of U.S. $
line 102
Intellectual property products
2025
297,547
Millions of U.S. Dollars
275,648
Millions of U.S. Dollars
275,648
Millions of U.S. Dollars
Mil. of U.S. $
line 103
Financial assets
2025
143,865,869
Millions of U.S. Dollars
130,381,292
Millions of U.S. Dollars
130,381,292
Millions of U.S. Dollars
Mil. of U.S. $
line 104
Currency and deposits
2025
15,212,032
Millions of U.S. Dollars
14,494,999
Millions of U.S. Dollars
14,494,999
Millions of U.S. Dollars
Mil. of U.S. $
line 105
Currency and transferable deposits
2025
5,934,865
Millions of U.S. Dollars
4,636,253
Millions of U.S. Dollars
4,636,253
Millions of U.S. Dollars
Mil. of U.S. $
line 106
Foreign deposits
2025
68,265
Millions of U.S. Dollars
56,596
Millions of U.S. Dollars
56,596
Millions of U.S. Dollars
Mil. of U.S. $
line 107
Time and savings deposits
2025
9,208,901
Millions of U.S. Dollars
9,802,150
Millions of U.S. Dollars
9,802,150
Millions of U.S. Dollars
Mil. of U.S. $
line 108
Postal savings system deposits
2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 109
Debt securities
2025
6,147,393
Millions of U.S. Dollars
5,812,930
Millions of U.S. Dollars
5,812,930
Millions of U.S. Dollars
Mil. of U.S. $
line 110
Treasury securities
2025
2,944,570
Millions of U.S. Dollars
2,626,324
Millions of U.S. Dollars
2,626,324
Millions of U.S. Dollars
Mil. of U.S. $
line 111
Agency- and GSE-backed securities
2025
948,097
Millions of U.S. Dollars
1,050,449
Millions of U.S. Dollars
1,050,449
Millions of U.S. Dollars
Mil. of U.S. $
line 112
Municipal securities
2025
2,060,747
Millions of U.S. Dollars
1,941,126
Millions of U.S. Dollars
1,941,126
Millions of U.S. Dollars
Mil. of U.S. $
line 113
Corporate and foreign bonds
2025
193,980
Millions of U.S. Dollars
195,031
Millions of U.S. Dollars
195,031
Millions of U.S. Dollars
Mil. of U.S. $
line 114
Loans
2025
1,245,742
Millions of U.S. Dollars
1,201,171
Millions of U.S. Dollars
1,201,171
Millions of U.S. Dollars
Mil. of U.S. $
line 115
Short term
2025
1,181,216
Millions of U.S. Dollars
1,130,790
Millions of U.S. Dollars
1,130,790
Millions of U.S. Dollars
Mil. of U.S. $
line 116
Long term (mortgages)
2025
64,526
Millions of U.S. Dollars
70,381
Millions of U.S. Dollars
70,381
Millions of U.S. Dollars
Mil. of U.S. $
line 117
Equity and investment fund shares
2025
82,187,671
Millions of U.S. Dollars
71,930,061
Millions of U.S. Dollars
71,930,061
Millions of U.S. Dollars
Mil. of U.S. $
line 118
Corporate equities
2025
47,185,751
Millions of U.S. Dollars
39,055,045
Millions of U.S. Dollars
39,055,045
Millions of U.S. Dollars
Mil. of U.S. $
line 119
Mutual fund shares
2025
13,680,225
Millions of U.S. Dollars
12,328,757
Millions of U.S. Dollars
12,328,757
Millions of U.S. Dollars
Mil. of U.S. $
line 120
Money market fund shares
2025
5,320,563
Millions of U.S. Dollars
4,709,166
Millions of U.S. Dollars
4,709,166
Millions of U.S. Dollars
Mil. of U.S. $
line 121
Equity in noncorporate business
2025
16,001,132
Millions of U.S. Dollars
15,837,093
Millions of U.S. Dollars
15,837,093
Millions of U.S. Dollars
Mil. of U.S. $
line 122
Equity investment under Public-Private Inv. Program
2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 123
Insurance, pension and standardized guarantee schemes
2025
38,585,890
Millions of U.S. Dollars
36,491,101
Millions of U.S. Dollars
36,491,101
Millions of U.S. Dollars
Mil. of U.S. $
line 124
Insurance receivables due from property-casualty insurance companies
2025
881,349
Millions of U.S. Dollars
832,559
Millions of U.S. Dollars
832,559
Millions of U.S. Dollars
Mil. of U.S. $
line 125
Life insurance reserves
2025
2,201,189
Millions of U.S. Dollars
2,161,913
Millions of U.S. Dollars
2,161,913
Millions of U.S. Dollars
Mil. of U.S. $
line 126
Pension entitlements
2025
34,591,606
Millions of U.S. Dollars
32,620,691
Millions of U.S. Dollars
32,620,691
Millions of U.S. Dollars
Mil. of U.S. $
line 127
Non-life insurance reserves at life insurance companies
2025
437,406
Millions of U.S. Dollars
436,819
Millions of U.S. Dollars
436,819
Millions of U.S. Dollars
Mil. of U.S. $
line 128
Retiree Health Care Funds
2025
474,340
Millions of U.S. Dollars
439,119
Millions of U.S. Dollars
439,119
Millions of U.S. Dollars
Mil. of U.S. $
line 129
Other accounts receivable (trade receivables)
2025
487,142
Millions of U.S. Dollars
451,030
Millions of U.S. Dollars
451,030
Millions of U.S. Dollars
Mil. of U.S. $
line 130
Total liabilities and net worth
2025
205,613,279
Millions of U.S. Dollars
190,464,400
Millions of U.S. Dollars
190,464,400
Millions of U.S. Dollars
Mil. of U.S. $
line 131
Liabilities
2025
21,507,665
Millions of U.S. Dollars
20,845,159
Millions of U.S. Dollars
20,845,159
Millions of U.S. Dollars
Mil. of U.S. $
line 132
Debt securities (municipals)
2025
232,478
Millions of U.S. Dollars
216,282
Millions of U.S. Dollars
216,282
Millions of U.S. Dollars
Mil. of U.S. $
line 133
Loans
2025
20,702,071
Millions of U.S. Dollars
20,074,575
Millions of U.S. Dollars
20,074,575
Millions of U.S. Dollars
Mil. of U.S. $
line 134
Short term
2025
6,345,674
Millions of U.S. Dollars
6,144,608
Millions of U.S. Dollars
6,144,608
Millions of U.S. Dollars
Mil. of U.S. $
line 135
Consumer credit
2025
5,106,630
Millions of U.S. Dollars
4,948,060
Millions of U.S. Dollars
4,948,060
Millions of U.S. Dollars
Mil. of U.S. $
line 136
Depository institution loans n.e.c.
2025
234,722
Millions of U.S. Dollars
347,489
Millions of U.S. Dollars
347,489
Millions of U.S. Dollars
Mil. of U.S. $
line 137
Other loans and advances
2025
1,004,322
Millions of U.S. Dollars
849,059
Millions of U.S. Dollars
849,059
Millions of U.S. Dollars
Mil. of U.S. $
line 138
Long term (mortgages)
2025
14,356,397
Millions of U.S. Dollars
13,929,967
Millions of U.S. Dollars
13,929,967
Millions of U.S. Dollars
Mil. of U.S. $
line 139
Insurance, pension and standardized guarantee schemes
2025
41,140
Millions of U.S. Dollars
39,530
Millions of U.S. Dollars
39,530
Millions of U.S. Dollars
Mil. of U.S. $
line 140
Other accounts payable (trade debt)
2025
531,976
Millions of U.S. Dollars
514,772
Millions of U.S. Dollars
514,772
Millions of U.S. Dollars
Mil. of U.S. $
line 141
Net worth
2025
184,105,614
Millions of U.S. Dollars
169,619,241
Millions of U.S. Dollars
169,619,241
Millions of U.S. Dollars
Mil. of U.S. $