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Quarterly:
F.107 State and Local Governments

   
    1946    
 
 
    2018
Millions of Dollars
Line Name 2018 Preceding
Period
Year Ago
from Period
1
Current receipts: NIPA basis
2,622,964 2,515,139 2,515,139
2
Personal current taxes
457,408 432,669 432,669
3
Taxes on production and imports
1,280,968 1,235,760 1,235,760
4
Taxes on corporate income
58,412 54,481 54,481
5
Contributions for govt. social insurance
22,202 20,762 20,762
6
Income receipts on assets
91,373 89,282 89,282
7
Current transfer receipts
716,568 685,618 685,618
8
Current surplus of government enterprises
-3,967 -3,433 -3,433
9
Current expenditures: NIPA basis
2,862,126 2,763,216 2,763,216
10
Consumption expenditures
1,847,409 1,764,628 1,764,628
11
Govt. social benefit payments to persons
736,601 712,191 712,191
12
Other current transfer payments
0 0 0
13
Interest payments
277,539 285,843 285,843
14
Subsidies
577 555 555
15
Net saving: NIPA basis
-239,162 -248,077 -248,077
16
+ Consumption of fixed capital
279,569 266,099 266,099
17
- Net capital transfers paid
-73,281 -72,204 -72,204
18
= Gross saving less Net capital transfers paid
113,689 90,225 90,225
19
Gross investment
142,659 195,408 195,408
20
Fixed investment
396,788 378,046 378,046
21
Nonproduced nonfinancial assets
14,463 13,731 13,731
22
Net lending (+) or net borrowing (-)
-268,592 -196,368 -196,368
23
Net acquisition of financial assets
-121,867 58,239 58,239
24
Checkable deposits and currency
-6,367 7,937 7,937
25
Time and savings deposits
8,244 14,482 14,482
26
Money market fund shares
-2,090 306 306
27
Security repurchase agreements
-11,611 1,380 1,380
28
Debt securities
-92,192 9,961 9,961
29
Open market paper
-5,507 654 654
30
Treasury securities
-39,310 -11,918 -11,918
31
Agency- and GSE-backed securities
-31,500 19,338 19,338
32
Municipal securities
-1,184 141 141
33
Corporate and foreign bonds
-14,691 1,746 1,746
34
Loans (mortgages)
-17,963 2,547 2,547
35
Corporate equities
-7,829 930 930
36
Mutual fund shares
-4,032 480 480
37
Trade receivables
15,615 10,792 10,792
38
Taxes receivable
9,432 8,167 8,167
39
Miscellaneous assets
-13,073 1,257 1,257
40
Net increase in liabilities
146,726 254,607 254,607
41
Debt securities (municipal securities)
-52,221 -1,739 -1,739
42
Short-term
3,040 4,791 4,791
43
Long-term
-55,261 -6,530 -6,530
44
Loans (U.S. government loans)
1,081 441 441
45
Trade payables
48,079 45,274 45,274
46
Claims of pension fund on sponsor
149,787 210,631 210,631
47
Discrepancy
-28,970 -105,183 -105,183
   

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