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Annual Tables

S.3.a Households and Nonprofit Institutions Serving Households

   

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    1945    
 
 
    2023
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
Current Account
line 1
Gross value added
2023 3,447,165 3,165,778 3,165,778
line 2
Less: Consumption of fixed capital
2023 855,741 821,014 821,014
line 3
Equals: Net value added
2023 2,591,424 2,344,764 2,344,764
line 4
Compensation paid by households and NPISHs
2023 1,231,735 1,140,824 1,140,824
line 5
Wages and salaries
. . . .
line 6
Employers’ social contributions
. . . .
line 7
Taxes on production and imports less subsidies
2023 249,856 232,684 232,684
line 8
Operating surplus, net
2023 1,109,833 971,256 971,256
line 9
Net national income/Balance of primary incomes, net
2023 20,178,606 19,206,590 19,206,590
line 10
Operating surplus, net
2023 1,109,833 971,256 971,256
line 11
Compensation of employees (received)
2023 14,254,248 13,439,187 13,439,187
line 12
Wages and salaries
2023 11,816,974 11,116,027 11,116,027
line 13
Employers’ social contributions
2023 2,437,275 2,323,160 2,323,160
line 14
Property income (received)
. . . .
line 15
Interest
. . . .
line 16
Distributed income of corporations
. . . .
line 17
Dividends
. . . .
line 18
Withdrawals from income of quasi-corporations
. . . .
line 19
Less: Uses of property income (interest paid)
. . . .
line 20
Net national income/Balance of primary incomes, net
2023 20,178,606 19,206,590 19,206,590
line 21
Less: Current taxes on income, wealth, etc. (paid)
2023 2,753,778 3,138,314 3,138,314
line 22
Plus: Social benefits (received)
2023 3,992,885 3,902,972 3,902,972
line 23
Less: Social contributions (paid)
2023 1,805,129 1,701,681 1,701,681
line 24
Plus: Other current transfers (received)
2023 104,287 99,141 99,141
line 25
Less: Other current transfers (paid)
2023 237,281 234,163 234,163
line 26
Equals: Disposable income, net
2023 19,479,591 18,134,546 18,134,546
line 27
Less: Final consumption expenditures
2023 18,567,393 17,511,744 17,511,744
line 28
Equals: Net saving
2023 912,198 622,802 622,802
Capital account
line 29
Net saving less capital transfers
2023 1,016,276 620,147 620,147
line 30
Net saving
2023 912,198 622,802 622,802
line 31
Less: Capital transfers paid (net)
2023 -104,078 2,654 2,654
line 32
Capital formation, net
2023 312,258 409,236 409,236
line 33
Gross fixed capital formation, excluding consumer durables
2023 1,184,015 1,245,789 1,245,789
line 34
Residential
2023 893,498 970,798 970,798
line 35
Nonresidential (nonprofit organizations)
2023 290,517 274,991 274,991
line 36
Less: Consumption of fixed capital
2023 855,741 821,014 821,014
line 37
Acquisition of nonproduced nonfinancial assets
2023 -16,016 -15,539 -15,539
line 38
Net lending (+) or borrowing (-), capital account (lines 29-32)
2023 704,019 210,911 210,911
Financial account
line 39
Net lending (+) or borrowing (-) (line 38)
2023 704,019 210,911 210,911
line 40
Net acquisition of financial assets
2023 1,615,492 1,782,048 1,782,048
line 41
Currency and deposits
2023 -639,587 -400,457 -400,457
line 42
Currency and transferable deposits
2023 -193,265 389,391 389,391
line 43
Time and savings deposits
2023 -441,085 -793,271 -793,271
line 44
Foreign deposits
2023 -5,237 3,423 3,423
line 45
Postal savings system deposits
2023 0 0 0
line 46
Debt securities
2023 1,089,362 1,510,330 1,510,330
line 47
Treasury securities
2023 817,631 1,111,984 1,111,984
line 48
Agency- and GSE-backed securities
2023 174,721 672,247 672,247
line 49
Municipal securities
2023 93,258 29,725 29,725
line 50
Corporate and foreign bonds
2023 3,752 -303,626 -303,626
line 51
Loans
2023 -70,507 -50,471 -50,471
line 52
Short term
2023 -67,161 -41,578 -41,578
line 53
Long term (mortgages)
2023 -3,346 -8,893 -8,893
line 54
Equity and investment fund shares
2023 507,700 51,656 51,656
line 55
Corporate equities
2023 -57,237 590,173 590,173
line 56
Mutual fund shares
2023 -164,202 -724,067 -724,067
line 57
Money market fund shares
2023 724,727 277,185 277,185
line 58
Equity in noncorporate business
2023 4,412 -91,635 -91,635
line 59
Equity investment under Public-Private Inv. Program
2023 0 0 0
line 60
Insurance, pension and standardized guarantee schemes
2023 715,325 669,981 669,981
line 61
Insurance receivables due from property-casualty insurance companies
2023 73,111 61,984 61,984
line 62
Life insurance reserves
2023 55,223 58,858 58,858
line 63
Pension entitlements
2023 551,054 504,686 504,686
line 64
Non-life insurance reserves at life insurance companies
2023 6,125 5,983 5,983
line 65
Retiree Health Care Funds
2023 29,812 38,470 38,470
line 66
Other accounts receivable (trade receivables)
2023 14,264 13,188 13,188
line 67
Net incurrence of liabilities
2023 563,673 1,185,787 1,185,787
line 68
Debt securities (municipals)
2023 2,092 -923 -923
line 69
Loans
2023 527,547 1,155,251 1,155,251
line 70
Short term
2023 134,476 291,747 291,747
line 71
Consumer credit
2023 125,646 345,506 345,506
line 72
Depository institution loans n.e.c.
2023 -21,135 71,676 71,676
line 73
Other loans and advances
2023 29,965 -125,435 -125,435
line 74
Long term (mortgages)
2023 393,071 863,504 863,504
line 75
Insurance, pension and standardized guarantee schemes
2023 2,539 -1,473 -1,473
line 76
Other accounts payable (trade debt)
2023 31,496 32,932 32,932
Addendum:
line 77
Net lending (+) or borrowing (-), financial account (lines 40-67)
2023 1,051,818 596,261 596,261
Other changes in volume account
line 78
Total other volume changes
2023 787,255 176,853 176,853
line 79
Net investment in consumer durable goods
2023 377,714 398,578 398,578
line 80
Disaster losses
2023 16,015 -13,641 -13,641
line 81
Other volume changes
2023 45,726 -593,433 -593,433
line 82
Less: Statistical discrepancy (lines 38-77)
2023 -347,800 -385,350 -385,350
Revaluation account
line 83
Nonfinancial assets
. . . .
line 84
Real estate
2023 1,697,776 3,368,956 3,368,956
line 85
Consumer durable goods
2023 -145,209 248,975 248,975
line 86
Equipment
2023 20,032 23,080 23,080
line 87
Intellectual property products
2023 10,700 6,971 6,971
line 88
Financial assets
2023 8,199,955 -10,049,969 -10,049,969
line 89
Debt securities
2023 135,050 -406,106 -406,106
line 90
Corporate equities
2023 5,600,918 -5,885,910 -5,885,910
line 91
Mutual fund shares
2023 1,399,893 -2,346,108 -2,346,108
line 92
Equity in noncorporate business
2023 -475,182 772,106 772,106
line 93
Equity investment under Public-Private Inv. Program
2023 0 0 0
line 94
Insurance, pension and standardized guarantee schemes
2023 1,539,276 -2,183,951 -2,183,951
line 95
Changes in net worth due to nominal holding gains/losses
2023 9,783,254 -6,401,989 -6,401,989
Changes in balance sheet account
line 96
Change in net worth (lines 32+38+78+95)
2023 11,586,785 -5,604,988 -5,604,988
Balance sheet account (end of period)
line 97
Total assets
2023 176,743,210 164,596,676 164,596,676
line 98
Nonfinancial assets
2023 57,911,298 55,644,051 55,644,051
line 99
Real estate
2023 49,092,703 47,117,749 47,117,749
line 100
Consumer durable goods
2023 7,878,137 7,645,632 7,645,632
line 101
Equipment
2023 666,919 627,921 627,921
line 102
Intellectual property products
2023 273,539 252,749 252,749
line 103
Financial assets
2023 118,831,912 108,952,625 108,952,625
line 104
Currency and deposits
2023 14,225,081 14,856,527 14,856,527
line 105
Currency and transferable deposits
2023 4,340,912 4,534,177 4,534,177
line 106
Foreign deposits
2023 46,415 51,651 51,651
line 107
Time and savings deposits
2023 9,837,755 10,270,699 10,270,699
line 108
Postal savings system deposits
2023 0 0 0
line 109
Debt securities
2023 5,670,709 4,434,261 4,434,261
line 110
Treasury securities
2023 2,321,278 1,461,550 1,461,550
line 111
Agency- and GSE-backed securities
2023 1,272,579 1,071,252 1,071,252
line 112
Municipal securities
2023 1,766,305 1,620,518 1,620,518
line 113
Corporate and foreign bonds
2023 310,547 280,941 280,941
line 114
Loans
2023 1,346,272 1,416,780 1,416,780
line 115
Short term
2023 1,271,880 1,339,042 1,339,042
line 116
Long term (mortgages)
2023 74,392 77,738 77,738
line 117
Equity and investment fund shares
2023 62,575,752 55,498,758 55,498,758
line 118
Corporate equities
2023 31,996,489 26,418,785 26,418,785
line 119
Mutual fund shares
2023 11,005,134 9,759,443 9,759,443
line 120
Money market fund shares
2023 3,806,341 3,081,614 3,081,614
line 121
Equity in noncorporate business
2023 15,767,788 16,238,916 16,238,916
line 122
Equity investment under Public-Private Inv. Program
2023 0 0 0
line 123
Insurance, pension and standardized guarantee schemes
2023 34,688,088 32,433,488 32,433,488
line 124
Insurance receivables due from property-casualty insurance companies
2023 801,186 728,075 728,075
line 125
Life insurance reserves
2023 2,089,634 1,987,089 1,987,089
line 126
Pension entitlements
2023 30,963,691 28,920,683 28,920,683
line 127
Non-life insurance reserves at life insurance companies
2023 420,216 414,091 414,091
line 128
Retiree Health Care Funds
2023 413,362 383,550 383,550
line 129
Other accounts receivable (trade receivables)
2023 326,010 311,746 311,746
line 130
Total liabilities and net worth
2023 176,743,210 164,596,676 164,596,676
line 131
Liabilities
2023 20,528,807 19,969,058 19,969,058
line 132
Debt securities (municipals)
2023 203,911 201,819 201,819
line 133
Loans
2023 19,751,280 19,227,658 19,227,658
line 134
Short term
2023 6,229,207 6,094,731 6,094,731
line 135
Consumer credit
2023 5,019,688 4,894,042 4,894,042
line 136
Depository institution loans n.e.c.
2023 473,577 494,712 494,712
line 137
Other loans and advances
2023 735,942 705,977 705,977
line 138
Long term (mortgages)
2023 13,522,073 13,132,927 13,132,927
line 139
Insurance, pension and standardized guarantee schemes
2023 39,500 36,961 36,961
line 140
Other accounts payable (trade debt)
2023 534,116 502,620 502,620
line 141
Net worth
2023 156,214,403 144,627,618 144,627,618
   

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