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Annual:
F.115 Property-Casualty Insurance Companies

   
    1946    
 
 
    2018
Millions of Dollars
Line Name 2018 Preceding
Period
Year Ago
from Period
1
Gross saving less net capital transfers paid
76,979 11,113 11,113
2
Fixed nonresidential investment
29,613 27,278 27,278
3
Net acquisition of financial assets
91,263 112,184 112,184
4
Checkable deposits and currency
-1,491 4,271 4,271
5
Money market fund shares
2,605 4,000 4,000
6
Security repurchase agreements
-63 48 48
7
Debt securities
42,384 33,023 33,023
8
Open market paper
-2,194 -8,918 -8,918
9
Treasury securities
6,807 34,042 34,042
10
Agency- and GSE-backed securities
18,938 5,586 5,586
11
Municipal securities
-35,437 -9,891 -9,891
12
Corporate and foreign bonds
54,270 12,204 12,204
13
Loans (commercial mortgages)
2,651 2,369 2,369
14
Corporate equities
20,146 9,780 9,780
15
Mutual fund shares
-1,018 1,236 1,236
16
Trade receivables
17,831 9,364 9,364
17
U.S. direct investment abroad
11,456 1,490 1,490
18
Miscellaneous assets
-3,238 46,603 46,603
19
Equity in FHLB
32 0 0
20
Policy payables
8,757 37,229 37,229
21
Other
-12,027 9,374 9,374
22
Net increase in liabilities
41,537 96,672 96,672
23
Security repurchase agreements
-221 -18 -18
24
Corporate equity issues
-9,982 -12,793 -12,793
25
Loans (other loans and advances)
461 -19 -19
26
Trade payables
8,400 1,044 1,044
27
Taxes payable
-687 4,879 4,879
28
Foreign direct investment in U.S.
7,545 -2,178 -2,178
29
Miscellaneous liabilities
36,021 105,757 105,757
30
Investment by parent companies
1,167 554 554
31
Policy payables
44,060 75,788 75,788
32
Other
-9,206 29,415 29,415
33
Discrepancy
-2,360 -31,677 -31,677
Memo:
34
Securities lending
857 1,961 1,961
35
Direct reserve
28,006 49,611 49,611
36
Reinsured to U.S. reinsurers
6,945 15,800 15,800
37
Reinsured to non-U.S. reinsurers
1,812 21,429 21,429
38
Reinsured from non-U.S. reinsurers
9,109 10,377 10,377
   

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