Annual Tables

S.3.a Households and Nonprofit Institutions Serving Households


The Financial Accounts (formerly known as the Flow of Funds accounts) are a set of financial accounts used to track the sources and uses of funds by sector. They are a component of a system of macroeconomic accounts including the National Income and Product accounts (NIPA) and balance of payments accounts, all of which serve as a comprehensive set of information on the economy’s performance.(1) Some important inferences that can be drawn from the Financial accounts are the financial strength of a given sector, new economic trends, changes in the composition of wealth, and development of new financial instruments over time.(1)
Sectors are compiled into three categories: households, nonfinancial businesses, and banks. The sources of funds for a sector are its internal funds (savings from income after consumption) and external funds (loans from banks and other financial intermediaries). (1) Funds for a given sector are used for its investments in physical and financial assets. Dividing sources and uses of funds into two categories helps the staff of the Federal Reserve System pay particular attention to external sources of funds and financial uses of funds.(2) One example is whether households are borrowing more from banks—or in other words, whether household debt is rising. Another example might be whether banks are using more of their funds to provide loans to consumers. Transactions within a sector are not shown in the accounts; however, transactions between sectors are.(2) Monitoring the external flows of funds provides insights into a sector’s health and the performance of the economy as a whole.
Data for the Financial accounts are compiled from a large number of reports and publications, including regulatory reports such as those submitted by banks, tax filings, and surveys conducted by the Federal Reserve System.(2) The Financial accounts are published quarterly as a set of tables in the Federal Reserve’s Z.1 statistical release.
(1) Teplin, Albert M. “The U.S. Flow of Funds Accounts and Their Uses.” Federal Reserve Bulletin, July 2001; http://www.federalreserve.gov/pubs/bulletin/2001/0701lead.pdf.
(2) Board of Governors of the Federal Reserve System. “Guide to the Flow of Funds Accounts.” 2000, http://www.federalreserve.gov/apps/fof/.

For questions on the data, please contact the data source: https://www.federalreserve.gov/apps/ContactUs/feedback.aspx?refurl=/releases/z1/%
For questions on FRED functionality, please contact: https://fred.stlouisfed.org/contactus/


   

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    1945    
 
 
    2025
Line Name Period Value Preceding
Period
Year Ago
from Period
Units
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. $
   

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