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With nonfinancial assets stated at either market value or replacement cost:
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line 1 |
Assets
|
2023
|
59,751,311
Millions of Dollars
|
57,551,206
Millions of Dollars
|
57,551,206
Millions of Dollars
|
Mil. of $
|
|
line 2 |
Nonfinancial assets
|
2023
|
30,219,620
Millions of Dollars
|
30,549,917
Millions of Dollars
|
30,549,917
Millions of Dollars
|
Mil. of $
|
|
line 3 |
Real estate
|
2023
|
16,166,268
Millions of Dollars
|
17,088,699
Millions of Dollars
|
17,088,699
Millions of Dollars
|
Mil. of $
|
|
line 4 |
Equipment
|
2023
|
6,540,566
Millions of Dollars
|
6,282,640
Millions of Dollars
|
6,282,640
Millions of Dollars
|
Mil. of $
|
|
line 5 |
Intellectual property products
|
2023
|
4,042,147
Millions of Dollars
|
3,686,944
Millions of Dollars
|
3,686,944
Millions of Dollars
|
Mil. of $
|
|
line 6 |
Inventories
|
2023
|
3,470,639
Millions of Dollars
|
3,491,634
Millions of Dollars
|
3,491,634
Millions of Dollars
|
Mil. of $
|
|
line 7 |
Financial assets
|
2023
|
29,531,691
Millions of Dollars
|
27,001,289
Millions of Dollars
|
27,001,289
Millions of Dollars
|
Mil. of $
|
|
line 8 |
Foreign deposits
|
2023
|
212,402
Millions of Dollars
|
190,646
Millions of Dollars
|
190,646
Millions of Dollars
|
Mil. of $
|
|
line 9 |
Checkable deposits and currency
|
2023
|
1,957,380
Millions of Dollars
|
1,976,567
Millions of Dollars
|
1,976,567
Millions of Dollars
|
Mil. of $
|
|
line 10 |
Time and savings deposits
|
2023
|
396,103
Millions of Dollars
|
297,053
Millions of Dollars
|
297,053
Millions of Dollars
|
Mil. of $
|
|
line 11 |
Money market fund shares
|
2023
|
915,501
Millions of Dollars
|
739,533
Millions of Dollars
|
739,533
Millions of Dollars
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Mil. of $
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line 12 |
Security repurchase agreements
|
2023
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29,124
Millions of Dollars
|
28,478
Millions of Dollars
|
28,478
Millions of Dollars
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Mil. of $
|
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line 13 |
Debt securities
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2023
|
446,110
Millions of Dollars
|
369,091
Millions of Dollars
|
369,091
Millions of Dollars
|
Mil. of $
|
|
line 14 |
Commercial paper
|
2023
|
233,301
Millions of Dollars
|
204,752
Millions of Dollars
|
204,752
Millions of Dollars
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Mil. of $
|
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line 15 |
Treasury securities
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2023
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131,977
Millions of Dollars
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91,704
Millions of Dollars
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91,704
Millions of Dollars
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Mil. of $
|
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line 16 |
Agency- and GSE-backed securities
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2023
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38,291
Millions of Dollars
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30,568
Millions of Dollars
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30,568
Millions of Dollars
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Mil. of $
|
|
line 17 |
Municipal securities
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2023
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24,575
Millions of Dollars
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23,776
Millions of Dollars
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23,776
Millions of Dollars
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Mil. of $
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line 18 |
Loans
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2023
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206,312
Millions of Dollars
|
184,919
Millions of Dollars
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184,919
Millions of Dollars
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Mil. of $
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line 19 |
Mortgages
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2023
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77,030
Millions of Dollars
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66,035
Millions of Dollars
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66,035
Millions of Dollars
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Mil. of $
|
|
line 20 |
Consumer credit
|
2023
|
35,802
Millions of Dollars
|
35,801
Millions of Dollars
|
35,801
Millions of Dollars
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Mil. of $
|
|
line 21 |
Corporate equities
|
2023
|
2,830,694
Millions of Dollars
|
2,397,646
Millions of Dollars
|
2,397,646
Millions of Dollars
|
Mil. of $
|
|
line 22 |
Mutual fund shares
|
2023
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407,188
Millions of Dollars
|
358,455
Millions of Dollars
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358,455
Millions of Dollars
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Mil. of $
|
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line 23 |
Trade receivables
|
2023
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4,796,876
Millions of Dollars
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4,595,348
Millions of Dollars
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4,595,348
Millions of Dollars
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Mil. of $
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line 24 |
U.S. direct investment abroad
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.
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.
Millions of Dollars
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.
Millions of Dollars
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.
Millions of Dollars
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Mil. of $
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|
line 25 |
Miscellaneous assets
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2023
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9,551,214
Millions of Dollars
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9,194,218
Millions of Dollars
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9,194,218
Millions of Dollars
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Mil. of $
|
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line 26 |
Liabilities
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2023
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27,320,312
Millions of Dollars
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26,730,841
Millions of Dollars
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26,730,841
Millions of Dollars
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Mil. of $
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line 27 |
Debt securities
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2023
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8,248,507
Millions of Dollars
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8,011,854
Millions of Dollars
|
8,011,854
Millions of Dollars
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Mil. of $
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line 28 |
Commercial paper
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2023
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217,769
Millions of Dollars
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197,553
Millions of Dollars
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197,553
Millions of Dollars
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Mil. of $
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line 29 |
Municipal securities
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2023
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617,606
Millions of Dollars
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619,032
Millions of Dollars
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619,032
Millions of Dollars
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Mil. of $
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line 30 |
Corporate bonds
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2023
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6,924,459
Millions of Dollars
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6,742,542
Millions of Dollars
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6,742,542
Millions of Dollars
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Mil. of $
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line 31 |
Loans
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2023
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5,388,356
Millions of Dollars
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5,427,453
Millions of Dollars
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5,427,453
Millions of Dollars
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Mil. of $
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line 32 |
Depository institution loans n.e.c.
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2023
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1,484,029
Millions of Dollars
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1,474,872
Millions of Dollars
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1,474,872
Millions of Dollars
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Mil. of $
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line 33 |
Other loans and advances
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2023
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2,587,132
Millions of Dollars
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2,693,540
Millions of Dollars
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2,693,540
Millions of Dollars
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Mil. of $
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line 34 |
Mortgages
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2023
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1,317,195
Millions of Dollars
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1,259,041
Millions of Dollars
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1,259,041
Millions of Dollars
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Mil. of $
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line 35 |
Trade payables
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2023
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3,554,975
Millions of Dollars
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3,442,673
Millions of Dollars
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3,442,673
Millions of Dollars
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Mil. of $
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line 36 |
Taxes payable
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2023
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271,322
Millions of Dollars
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277,476
Millions of Dollars
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277,476
Millions of Dollars
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Mil. of $
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line 37 |
Foreign direct investment in U.S.
|
.
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.
Millions of Dollars
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.
Millions of Dollars
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.
Millions of Dollars
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Mil. of $
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line 38 |
Miscellaneous liabilities
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2023
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9,481,385
Millions of Dollars
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9,189,724
Millions of Dollars
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9,189,724
Millions of Dollars
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Mil. of $
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line 39 |
Net worth (market value)
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2023
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32,430,999
Millions of Dollars
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30,820,365
Millions of Dollars
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30,820,365
Millions of Dollars
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Mil. of $
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Memo:
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Replacement-cost value of structures:
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line 40 |
Residential
|
.
|
.
Millions of Dollars
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.
Millions of Dollars
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.
Millions of Dollars
|
Mil. of $
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line 41 |
Nonresidential
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.
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.
Millions of Dollars
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.
Millions of Dollars
|
.
Millions of Dollars
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Mil. of $
|
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line 42 |
Market value of equities outstanding
|
2023
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51,547,171
Millions of Dollars
|
41,617,789
Millions of Dollars
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41,617,789
Millions of Dollars
|
Mil. of $
|
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line 43 |
Debt/net worth (percent) (lines 27+31/line 39)
|
2023
|
42.04885
Percent
|
43.60528
Percent
|
43.60528
Percent
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%
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line 44 |
Debt/equities (percent) (lines 27+31/line 42)
|
2023
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21.61766
Percent
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26.48266
Percent
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26.48266
Percent
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%
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line 45 |
Equities/net worth (percent) (line 42/line 39)
|
2023
|
194.51156
Percent
|
164.65595
Percent
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164.65595
Percent
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%
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With nonfinancial assets stated at historical cost:
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line 46 |
Assets (sum of lines 7 and 47)
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2023
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49,050,231
Millions of Dollars
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45,872,211
Millions of Dollars
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45,872,211
Millions of Dollars
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Mil. of $
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|
line 47 |
Nonfinancial assets
|
2023
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19,518,540
Millions of Dollars
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18,870,922
Millions of Dollars
|
18,870,922
Millions of Dollars
|
Mil. of $
|
|
line 48 |
Real estate
|
2023
|
7,589,154
Millions of Dollars
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7,210,687
Millions of Dollars
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7,210,687
Millions of Dollars
|
Mil. of $
|
|
line 49 |
Equipment
|
2023
|
5,696,318
Millions of Dollars
|
5,496,202
Millions of Dollars
|
5,496,202
Millions of Dollars
|
Mil. of $
|
|
line 50 |
Intellectual property products
|
2023
|
3,552,842
Millions of Dollars
|
3,288,479
Millions of Dollars
|
3,288,479
Millions of Dollars
|
Mil. of $
|
|
line 51 |
Inventories
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2023
|
2,680,227
Millions of Dollars
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2,875,554
Millions of Dollars
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2,875,554
Millions of Dollars
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Mil. of $
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line 52 |
Net worth (historical cost) (line 46 less line 26)
|
2023
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21,729,920
Millions of Dollars
|
19,141,370
Millions of Dollars
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19,141,370
Millions of Dollars
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Mil. of $
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Memo:
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Historical-cost value of structures:
|
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line 53 |
Residential
|
2023
|
151,126
Millions of Dollars
|
143,456
Millions of Dollars
|
143,456
Millions of Dollars
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Mil. of $
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line 54 |
Nonresidential
|
2023
|
6,784,500
Millions of Dollars
|
6,449,552
Millions of Dollars
|
6,449,552
Millions of Dollars
|
Mil. of $
|
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line 55 |
Debt/net worth (percent) (lines 27+31/line 52)
|
2023
|
62.75616
Percent
|
70.21079
Percent
|
70.21079
Percent
|
%
|