Skip to main content

Annual:
F.115 Property-Casualty Insurance Companies

   
    1946    
 
 
    2020
Millions of Dollars
Line Name 2020 Preceding
Period
Year Ago
from Period
1
Gross saving less net capital transfers paid
79,966 88,351 88,351
2
Fixed nonresidential investment
32,140 30,582 30,582
3
Net acquisition of financial assets
109,855 77,686 77,686
4
Checkable deposits and currency
2,557 17,403 17,403
5
Money market fund shares
9,918 2,487 2,487
6
Security repurchase agreements
229 614 614
7
Debt securities
53,104 29,699 29,699
8
Open market paper
-772 467 467
9
Treasury securities
892 -7,048 -7,048
10
Agency- and GSE-backed securities
3,036 6,249 6,249
11
Municipal securities
2,944 -4,700 -4,700
12
Corporate and foreign bonds
47,004 34,731 34,731
13
Loans (commercial mortgages)
1,414 2,361 2,361
14
Corporate equities
-22,263 -1,791 -1,791
15
Mutual fund shares
832 144 144
16
Trade receivables
18,077 6,616 6,616
17
U.S. direct investment abroad
16,733 3,927 3,927
18
Miscellaneous assets
29,254 16,226 16,226
19
Equity in FHLB
537 17 17
20
Policy payables
3,837 10,470 10,470
21
Other
24,880 5,739 5,739
22
Net increase in liabilities
93,404 82,490 82,490
23
Security repurchase agreements
74 -15 -15
24
Corporate equity issues
-3,461 -7,913 -7,913
25
Loans (other loans and advances)
6,433 215 215
26
Trade payables
11,097 2,611 2,611
27
Taxes payable
435 -290 -290
28
Foreign direct investment in U.S.
-5,157 7,126 7,126
29
Miscellaneous liabilities
76,189 80,352 80,352
30
Investment by parent companies
-3,919 838 838
31
Policy payables
55,225 43,979 43,979
32
Other
24,883 35,535 35,535
33
Discrepancy
23,580 62,169 62,169
Memo:
34
Securities lending
-530 74 74
35
Direct reserve
50,238 36,970 36,970
36
Reinsured to U.S. reinsurers
7,109 4,996 4,996
37
Reinsured to non-U.S. reinsurers
-3,272 5,474 5,474
38
Reinsured from non-U.S. reinsurers
-2,122 2,013 2,013
   

Subscribe to the FRED newsletter


Follow us

Back to Top