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Annual:
F.115 Property-Casualty Insurance Companies

   
    1946    
 
 
    2019
Millions of Dollars
Line Name 2019 Preceding
Period
Year Ago
from Period
1
Gross saving less net capital transfers paid
70,902 76,548 76,548
2
Fixed nonresidential investment
30,324 28,421 28,421
3
Net acquisition of financial assets
49,516 117,207 117,207
4
Checkable deposits and currency
17,403 -1,690 -1,690
5
Money market fund shares
2,487 2,663 2,663
6
Security repurchase agreements
614 -49 -49
7
Debt securities
29,699 43,673 43,673
8
Open market paper
467 -2,153 -2,153
9
Treasury securities
-7,048 7,910 7,910
10
Agency- and GSE-backed securities
6,249 20,207 20,207
11
Municipal securities
-4,700 -38,923 -38,923
12
Corporate and foreign bonds
34,731 56,632 56,632
13
Loans (commercial mortgages)
2,361 2,671 2,671
14
Corporate equities
-1,791 20,103 20,103
15
Mutual fund shares
144 -1,121 -1,121
16
Trade receivables
5,168 17,831 17,831
17
U.S. direct investment abroad
-430 10,766 10,766
18
Miscellaneous assets
-6,139 22,360 22,360
19
Equity in FHLB
17 32 32
20
Policy payables
10,470 8,757 8,757
21
Other
-16,626 13,571 13,571
22
Net increase in liabilities
74,415 51,180 51,180
23
Security repurchase agreements
-15 -221 -221
24
Corporate equity issues
-7,928 -9,687 -9,687
25
Loans (other loans and advances)
215 461 461
26
Trade payables
2,781 8,400 8,400
27
Taxes payable
-237 -687 -687
28
Foreign direct investment in U.S.
469 10,697 10,697
29
Miscellaneous liabilities
79,130 42,217 42,217
30
Investment by parent companies
838 1,167 1,167
31
Policy payables
43,979 44,060 44,060
32
Other
34,313 -3,010 -3,010
33
Discrepancy
65,477 -17,900 -17,900
Memo:
34
Securities lending
74 857 857
35
Direct reserve
36,970 28,006 28,006
36
Reinsured to U.S. reinsurers
4,996 6,945 6,945
37
Reinsured to non-U.S. reinsurers
5,474 1,812 1,812
38
Reinsured from non-U.S. reinsurers
2,013 9,109 9,109
   

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