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Quarterly:
L.100 Domestic Nonfinancial Sectors

   
    Q4 1945    
 
 
    Q2 2019
Line Name Q2 2019 Q1 2019 Q2 2018 Units
1
Total financial assets
122,848,673 120,852,379 117,199,082 Mil. of $
2
U.S. official reserve assets
96,398 93,595 93,043 Mil. of $
3
Foreign deposits
139,156 129,182 244,892 Mil. of $
4
Checkable deposits and currency
3,062,683 3,175,816 3,052,617 Mil. of $
5
Time and savings deposits
11,572,385 11,505,535 11,072,880 Mil. of $
6
Money market fund shares
2,530,588 2,426,298 2,202,077 Mil. of $
7
Security repurchase agreements
141,382 150,061 153,737 Mil. of $
8
Debt securities
7,257,286 7,079,319 6,640,546 Mil. of $
9
Open market paper
248,455 216,529 196,328 Mil. of $
10
Treasury securities
2,760,281 2,756,909 2,378,610 Mil. of $
11
Agency- and GSE-backed securities
1,017,100 977,422 942,584 Mil. of $
12
Municipal securities
1,929,231 1,923,163 1,890,739 Mil. of $
13
Corporate and foreign bonds
1,302,218 1,205,296 1,232,285 Mil. of $
14
Loans
2,803,821 2,792,897 2,732,100 Mil. of $
15
Other loans and advances
981,364 971,245 975,532 Mil. of $
16
Mortgages
476,808 484,087 493,814 Mil. of $
17
Consumer credit
1,345,649 1,337,565 1,262,754 Mil. of $
18
Corporate equities
20,703,316 20,087,303 19,938,438 Mil. of $
19
Mutual fund shares
9,506,556 9,220,750 9,154,204 Mil. of $
20
Trade receivables
4,839,070 4,753,125 4,615,908 Mil. of $
21
Life insurance reserves
1,709.750 1,692.122 1,655.467 Bil. of $
22
Pension entitlements
27,117,689 26,735,973 26,242,885 Mil. of $
23
Taxes payable
356,238 410,646 352,951 Mil. of $
24
Equity in noncorporate business
13,244,838 12,927,840 12,577,306 Mil. of $
25
U.S. direct investment abroad
6,150,914 6,069,880 6,253,889 Mil. of $
26
Miscellaneous assets
11,616,602 11,602,036 10,216,142 Mil. of $
27
Total liabilities
81,104,384 80,633,866 77,105,634 Mil. of $
28
U.S. official reserve assets
49,096 49,027 49,674 Mil. of $
29
SDR certificates
5,200 5,200 5,200 Mil. of $
30
Treasury currency
25,322 25,322 25,322 Mil. of $
31
Debt securities
27,575,687 27,613,564 26,686,955 Mil. of $
32
Open market paper
236.578 241.104 240.837 Bil. of $
33
Treasury securities
17,814,288 17,906,265 17,090,685 Mil. of $
34
Agency- and GSE-backed securities
21,997 22,201 23,511 Mil. of $
35
Municipal securities
3,809,722 3,824,293 3,866,459 Mil. of $
36
Corporate and foreign bonds
5,693.102 5,619.701 5,465.463 Bil. of $
37
Loans
25,053,388 24,775,440 23,816,555 Mil. of $
38
Depository institution loans n.e.c.
2,857,323 2,821,264 2,680,106 Mil. of $
39
Other loans and advances
2,732,010 2,682,343 2,394,856 Mil. of $
40
Mortgages
15,407,513 15,272,014 14,889,378 Mil. of $
41
Consumer credit
4,056.542 3,999.819 3,852.215 Bil. of $
42
Trade payables
5,092,840 5,016,952 4,802,283 Mil. of $
43
Life insurance reserves
51,690 51,793 51,040 Mil. of $
44
Taxes payable
395,584 424,136 400,645 Mil. of $
45
Foreign direct investment in U.S.
7,184,368 7,135,000 6,668,602 Mil. of $
46
Miscellaneous liabilities
15,671,210 15,537,433 14,599,359 Mil. of $
   

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