Skip to main content

Quarterly:
F.101 Households and Nonprofit Organizations

   
    Q4 1946    
 
 
    Q1 2019
Line Name Q1 2019 Q4 2018 Q1 2018 Units
1
Personal income
17,978,700 17,835,036 17,319,159 Mil. of $
2
- Personal current taxes
2,102,858 2,060,902 2,029,996 Mil. of $
3
= Disposable Personal income
15,875.842 15,774.134 15,289.163 Bil. of $
4
- Personal outlays
14,819,202 14,744,070 14,194,823 Mil. of $
5
= Personal saving: NIPA
1,056,640 1,030,064 1,094,340 Mil. of $
6
+ Government insurance and pension reserves
-3,497 -1,727 -2,352 Mil. of $
7
- Contr. for govt. soc. insur.: U.S.-affiliated areas
5,531 5,454 5,315 Mil. of $
8
+ Net investment in consumer durables
259,830 288,759 285,813 Mil. of $
9
+ Consumption of fixed capital
1,682,874 1,668,981 1,608,899 Mil. of $
10
- Net capital transfers paid
20,696 -13,120 23,000 Mil. of $
11
= Gross saving less Net capital transfers paid
2,969,620 2,993,743 2,958,385 Mil. of $
12
Gross investment
4,407,214 3,130,046 4,646,945 Mil. of $
13
Capital expenditures
2,212,565 2,227,432 2,177,950 Mil. of $
14
Consumer durable goods
1,355,496 1,373,486 1,334,825 Mil. of $
15
Residential
653,163 651,338 648,969 Mil. of $
16
Nonprofit nonresidential
217,196 215,603 206,347 Mil. of $
17
Nonproduced nonfinancial assets
-13,290 -12,995 -12,191 Mil. of $
18
Net lending (+) or net borrowing (-)
2,194,649 902,614 2,468,995 Mil. of $
19
Net acquisition of financial assets
2,582,428 1,353,442 2,985,079 Mil. of $
20
Foreign deposits
2,239 18,624 12,600 Mil. of $
21
Checkable deposits and currency
-94,786 736,011 533,543 Mil. of $
22
Time and savings deposits
648,744 223,756 773,956 Mil. of $
23
Money market fund shares
266,846 312,275 86,848 Mil. of $
24
Debt securities
842,149 948,926 706,647 Mil. of $
25
Treasury securities
899,912 96,558 1,015,125 Mil. of $
26
Agency- and GSE-backed securities
-1,407 302,177 41,033 Mil. of $
27
Municipal securities
-32,945 86,305 -102,234 Mil. of $
28
Corporate and foreign bonds
-23,410 463,886 -247,277 Mil. of $
29
Loans
-56,812 -23,040 -20,616 Mil. of $
30
Other loans and advances
-41,752 -10,236 -5,188 Mil. of $
31
Mortgages
-11,296 -9,616 -9,076 Mil. of $
32
Consumer credit (student loans)
-3,764 -3,188 -6,352 Mil. of $
33
Corporate equities
106,605 -420,267 99,570 Mil. of $
34
Mutual fund shares
435,721 -967,199 255,129 Mil. of $
35
Trade receivables
9,132 8,336 8,336 Mil. of $
36
Life insurance reserves
20,820 56,000 52,856 Mil. of $
37
Pension entitlements
322,097 329,283 316,808 Mil. of $
38
Equity in noncorporate business
53,740 87,759 97,081 Mil. of $
39
Miscellaneous assets
25,932 42,977 62,320 Mil. of $
40
Net increase in liabilities
387,778 450,828 516,084 Mil. of $
41
Debt securities (municipal securities)
-3,900 -1,932 7,220 Mil. of $
42
Loans
366,986 438,792 480,232 Mil. of $
43
Home mortgages
251,461 229,197 301,977 Mil. of $
44
Consumer credit
174,185 215,235 133,363 Mil. of $
45
Depository institution loans n.e.c.
-34,100 109,088 9,984 Mil. of $
46
Other loans and advances
-33,676 -123,960 25,676 Mil. of $
47
Commercial mortgages
9,116 9,232 9,232 Mil. of $
48
Trade payables
18,908 18,876 18,876 Mil. of $
49
Deferred and unpaid life insurance premiums
5,784 -4,908 9,756 Mil. of $
50
Discrepancy
-1,437,595 -136,303 -1,688,559 Mil. of $
   

Subscribe to the FRED newsletter


Follow us

Back to Top
Click to send us feedback