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Quarterly:
L.100 Domestic Nonfinancial Sectors

   
    Q4 1945    
 
 
    Q2 2020
Line Name Q2 2020 Q1 2020 Q2 2019 Units
1
Total financial assets
130,633,205 121,197,697 122,520,214 Mil. of $
2
U.S. official reserve assets
102,144 96,360 96,416 Mil. of $
3
Foreign deposits
203,811 172,746 159,671 Mil. of $
4
Checkable deposits and currency
5,942,320 3,929,792 3,062,655 Mil. of $
5
Time and savings deposits
13,170,255 12,448,792 11,550,931 Mil. of $
6
Money market fund shares
3,736,423 3,488,062 2,537,087 Mil. of $
7
Security repurchase agreements
176,227 170,495 155,892 Mil. of $
8
Debt securities
7,498,971 7,568,196 7,510,249 Mil. of $
9
Open market paper
320,109 324,025 261,977 Mil. of $
10
Treasury securities
2,823,702 2,685,679 2,859,740 Mil. of $
11
Agency- and GSE-backed securities
962,337 1,275,757 1,168,930 Mil. of $
12
Municipal securities
1,948,636 1,929,118 1,947,078 Mil. of $
13
Corporate and foreign bonds
1,444,187 1,353,617 1,272,524 Mil. of $
14
Loans
3,198,995 3,100,138 2,853,116 Mil. of $
15
Other loans and advances
1,269,633 1,178,198 1,006,515 Mil. of $
16
Mortgages
509,590 506,338 500,236 Mil. of $
17
Consumer credit
1,419,772 1,415,602 1,346,365 Mil. of $
18
Corporate equities
21,931,059 18,016,216 21,930,287 Mil. of $
19
Mutual fund shares
9,927,677 8,550,810 9,734,803 Mil. of $
20
Trade receivables
5,037,361 5,040,648 5,096,379 Mil. of $
21
Life insurance reserves
1,736.063 1,709.167 1,702.538 Bil. of $
22
Pension entitlements
27,719,376 26,498,641 26,992,911 Mil. of $
23
Taxes payable
614,734 577,004 397,360 Mil. of $
24
Equity in noncorporate business
12,424,294 12,410,785 12,047,866 Mil. of $
25
U.S. direct investment abroad
5,770,560 4,968,090 6,178,289 Mil. of $
26
Miscellaneous assets
11,442,934 12,451,755 10,513,764 Mil. of $
27
Total liabilities
90,073,505 85,429,356 82,160,482 Mil. of $
28
U.S. official reserve assets
48,584 48,199 49,096 Mil. of $
29
SDR certificates
5,200 5,200 5,200 Mil. of $
30
Treasury currency
25,321 25,321 25,322 Mil. of $
31
Debt securities
32,822,635 29,603,548 27,601,316 Mil. of $
32
Open market paper
166.104 243.129 236.578 Bil. of $
33
Treasury securities
22,370,663 19,518,424 17,814,288 Mil. of $
34
Agency- and GSE-backed securities
21,019 21,184 21,997 Mil. of $
35
Municipal securities
3,885,897 3,866,463 3,823,421 Mil. of $
36
Corporate and foreign bonds
6,378.952 5,954.348 5,705.032 Bil. of $
37
Loans
26,356,957 26,103,745 25,083,086 Mil. of $
38
Depository institution loans n.e.c.
3,455,367 3,326,178 2,869,062 Mil. of $
39
Other loans and advances
2,762,130 2,724,497 2,738,403 Mil. of $
40
Mortgages
16,060,378 15,913,161 15,434,673 Mil. of $
41
Consumer credit
4,079.082 4,139.909 4,040.948 Bil. of $
42
Trade payables
5,278,350 5,256,317 5,190,321 Mil. of $
43
Life insurance reserves
52,024 52,034 51,690 Mil. of $
44
Taxes payable
470,007 428,947 391,335 Mil. of $
45
Foreign direct investment in U.S.
8,110,947 6,635,856 7,363,226 Mil. of $
46
Miscellaneous liabilities
16,903,480 17,270,188 16,399,889 Mil. of $
   

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