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Quarterly:
L.101 Households and Nonprofit Organizations

   
    Q4 1945    
 
 
    Q3 2019
Line Name Q3 2019 Q2 2019 Q3 2018 Units
1
Total financial assets
90,974.599 90,483.875 88,587.625 Bil. of $
2
Foreign deposits
39,632 39,157 39,724 Mil. of $
3
Checkable deposits and currency
1,235.863 1,378.251 1,264.336 Bil. of $
4
Time and savings deposits
10,019.334 9,861.629 9,557.873 Bil. of $
5
Money market fund shares
2,063.730 1,907.967 1,673.295 Bil. of $
6
Debt securities
5,499,397 5,478,866 5,123,611 Mil. of $
7
Treasury securities
2,002,732 1,993,922 1,756,018 Mil. of $
8
Agency- and GSE-backed securities
634,618 599,303 542,016 Mil. of $
9
Municipal securities
1,887,038 1,894,850 1,827,337 Mil. of $
10
Corporate and foreign bonds
975,008 990,791 998,240 Mil. of $
11
Loans
904,725 868,613 886,231 Mil. of $
12
Other loans and advances
813,518 773,703 779,916 Mil. of $
13
Mortgages
62.748 65.631 74.111 Bil. of $
14
Consumer credit (student loans)
28.459 29.279 32.204 Bil. of $
15
Corporate equities
18,042.280 18,298.157 18,583.678 Bil. of $
16
Mutual fund shares
9,068.112 8,992.456 9,063.728 Bil. of $
17
Trade receivables
273,294 271,186 265,049 Mil. of $
18
Life insurance reserves
1,729.123 1,709.750 1,675.929 Bil. of $
19
Pension entitlements
27,322,720 27,150,480 26,638,113 Mil. of $
20
Claims of pension fund on sponsor
6,090,184 6,175,509 6,041,769 Mil. of $
21
Funded pension entitlements
21,232,536 20,974,971 20,596,344 Mil. of $
22
Equity in noncorporate business
13,519,238 13,273,518 12,590,457 Mil. of $
23
Miscellaneous assets
1,257.152 1,253.846 1,225.601 Bil. of $
24
Total liabilities
16,385.781 16,210.119 15,904.844 Bil. of $
25
Debt securities (municipal securities)
214.392 214.838 217.109 Bil. of $
26
Loans
15,747,779 15,575,769 15,277,507 Mil. of $
27
Home mortgages
10,517.445 10,432.322 10,259.801 Bil. of $
28
Consumer credit
4,129.527 4,051.614 3,939.145 Bil. of $
29
Depository institution loans n.e.c.
339.311 334.606 311.094 Bil. of $
30
Other loans and advances
476.145 474.925 494.287 Bil. of $
31
Commercial mortgages
285.350 282.302 273.180 Bil. of $
32
Trade payables
386,987 383,763 374,000 Mil. of $
33
Deferred and unpaid life insurance premiums
36.623 35.749 36.228 Bil. of $
   

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