Federal Reserve Economic Data

Quarterly

F.107 State and Local Governments

   

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    1946    
 
 
    2023
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
line 1
Current receipts: NIPA basis
2023 3,700,754 3,690,086 3,690,086
line 2
Personal current taxes
2023 594,287 638,478 638,478
line 3
Taxes on production and imports
2023 1,718,872 1,648,638 1,648,638
line 4
Taxes on corporate income
2023 163,464 162,405 162,405
line 5
Contributions for govt. social insurance
2023 21,321 22,754 22,754
line 6
Income receipts on assets
2023 97,686 93,623 93,623
line 7
Current transfer receipts
2023 1,135,032 1,136,903 1,136,903
line 8
Current surplus of government enterprises
2023 -29,907 -12,714 -12,714
line 9
Current expenditures: NIPA basis
2023 3,762,324 3,601,762 3,601,762
line 10
Consumption expenditures
2023 2,403,775 2,333,664 2,333,664
line 11
Govt. social benefit payments to persons
2023 1,081,193 1,028,302 1,028,302
line 12
Other current transfer payments
2023 0 0 0
line 13
Interest payments
2023 276,669 239,128 239,128
line 14
Subsidies
2023 688 668 668
line 15
Net saving: NIPA basis
2023 -61,570 88,324 88,324
line 16
+ Consumption of fixed capital
2023 398,648 375,732 375,732
line 17
- Net capital transfers paid
2023 -96,295 -229,889 -229,889
line 18
= Gross saving less Net capital transfers paid
2023 433,372 693,946 693,946
line 19
Gross investment
2023 478,524 721,481 721,481
line 20
Fixed investment
2023 544,121 479,066 479,066
line 21
Nonproduced nonfinancial assets
2023 15,602 15,003 15,003
line 22
Net lending (+) or net borrowing (-)
2023 -81,199 227,412 227,412
line 23
Net acquisition of financial assets
2023 269,749 493,197 493,197
line 24
Checkable deposits and currency
2023 15,144 14,695 14,695
line 25
Time and savings deposits
. . . .
line 26
Money market fund shares
2023 6,760 9,761 9,761
line 27
Security repurchase agreements
2023 22,735 4,911 4,911
line 28
Debt securities
2023 215,062 355,958 355,958
line 29
Open market paper
2023 23,914 5,166 5,166
line 30
Treasury securities
. . . .
line 31
Agency- and GSE-backed securities
2023 19,552 39,246 39,246
line 32
Municipal securities
2023 3,373 6,389 6,389
line 33
Corporate and foreign bonds
2023 6,386 51,116 51,116
line 34
Loans (mortgages)
2023 12,323 748 748
line 35
Corporate equities
2023 -17,961 32,519 32,519
line 36
Mutual fund shares
2023 -3,200 16,629 16,629
line 37
Trade receivables
2023 -1,577 34,364 34,364
line 38
Taxes receivable
2023 9,628 41,248 41,248
line 39
Miscellaneous assets
2023 15,388 4,529 4,529
line 40
Net increase in liabilities
2023 350,948 265,785 265,785
line 41
Debt securities (municipal securities)
2023 21,445 -51,147 -51,147
line 42
Short-term
2023 1,434 -7,465 -7,465
line 43
Long-term
2023 20,011 -43,682 -43,682
line 44
Loans (U.S. government loans)
2023 985 721 721
line 45
Trade payables
2023 68,274 65,699 65,699
line 46
Claims of pension fund on sponsor
2023 260,244 250,512 250,512
line 47
Discrepancy
2023 -45,151 -27,535 -27,535
   

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