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Quarterly:
L.101 Households and Nonprofit Organizations

   
    Q4 1945    
 
 
    Q4 2022
Line Name Q4 2022 Q3 2022 Q4 2021 Units
1
Total financial assets
110,712.907 107,597.309 118,674.902 Bil. of $
2
Foreign deposits
52,637 53,086 48,212 Mil. of $
3
Checkable deposits and currency
4,951.402 5,076.473 4,280.513 Bil. of $
4
Time and savings deposits
10,402.644 10,493.390 11,215.207 Bil. of $
5
Money market fund shares
2,794.168 2,752.335 2,804.623 Bil. of $
6
Debt securities
4,523,772 3,940,499 3,138,562 Mil. of $
7
Treasury securities
1,587,120 1,241,343 599,550 Mil. of $
8
Agency- and GSE-backed securities
1,114,445 937,038 501,188 Mil. of $
9
Municipal securities
1,594,983 1,538,262 1,806,931 Mil. of $
10
Corporate and foreign bonds
227,224 223,856 230,893 Mil. of $
11
Loans
1,291,322 1,368,681 1,355,574 Mil. of $
12
Other loans and advances
1,186,276 1,262,358 1,246,536 Mil. of $
13
Mortgages
84.795 85.238 86.610 Bil. of $
14
Consumer credit (student loans)
20.251 21.085 22.428 Bil. of $
15
Corporate equities
26,207.747 24,394.957 31,982.808 Bil. of $
16
Mutual fund shares
9,642.766 9,246.736 12,684.842 Bil. of $
17
Trade receivables
300,010 297,883 291,502 Mil. of $
18
Life insurance reserves
1,906.336 1,885.312 1,944.932 Bil. of $
19
Pension entitlements
29,940,894 29,392,570 31,668,661 Mil. of $
20
Claims of pension fund on sponsor
6,508,123 6,812,858 4,980,463 Mil. of $
21
Funded pension entitlements
23,432,771 22,579,712 26,688,198 Mil. of $
22
Equity in noncorporate business
17,195,793 17,219,592 15,839,178 Mil. of $
23
Miscellaneous assets
1,503.418 1,475.795 1,420.289 Bil. of $
24
Total liabilities
19,383.592 19,235.737 18,361.407 Bil. of $
25
Debt securities (municipal securities)
199.837 199.487 200.536 Bil. of $
26
Loans
18,755,517 18,608,338 17,739,134 Mil. of $
27
Home mortgages
12,515.190 12,359.984 11,754.005 Bil. of $
28
Consumer credit
4,780.843 4,681.230 4,430.825 Bil. of $
29
Depository institution loans n.e.c.
491.814 468.395 422.974 Bil. of $
30
Other loans and advances
704.661 836.095 869.824 Bil. of $
31
Commercial mortgages
263.010 262.634 261.506 Bil. of $
32
Trade payables
390,587 388,856 383,663 Mil. of $
33
Deferred and unpaid life insurance premiums
37.650 39.056 38.074 Bil. of $
   

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