Federal Reserve Economic Data: Your trusted data source since 1991

Annual Tables

S.5.a Nonfinancial Corporate Business

   

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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
. . . .
line 2
Less: Consumption of fixed capital
2023 2,165,073 2,004,670 2,004,670
line 3
Equals: Net value added
. . . .
line 4
Compensation of employees (paid)
2023 8,063,597 7,580,226 7,580,226
line 5
Wages and salaries
2023 6,859,320 6,441,146 6,441,146
line 6
Employers’ social contributions
2023 1,204,277 1,139,081 1,139,081
line 7
Taxes on production and imports less subsidies
2023 1,114,722 1,092,093 1,092,093
line 8
Operating surplus, net
. . . .
line 9
Net national income/Balance of primary incomes, net
. . . .
line 10
Operating surplus, net
. . . .
line 11
Property income (received)
. . . .
line 12
Interest
. . . .
line 13
Distributed income of corporations (dividends)
. . . .
line 14
Reinvested earnings on U.S. direct investment abroad
. . . .
line 15
Less: Uses of property income (paid)
. . . .
line 16
Interest
. . . .
line 17
Distributed income of corporations (dividends)
. . . .
line 18
Reinvested earnings on foreign direct investment
. . . .
line 19
Rent
. . . .
line 20
Net national income/Balance of primary incomes, net
. . . .
line 21
Less: Current taxes on income, wealth, etc. (paid)
. . . .
line 22
Less: Other current transfers (paid)
2023 136,874 124,641 124,641
line 23
Equals: Disposable income, net
. . . .
line 24
Equals: Net saving
. . . .
Capital account
line 25
Net saving less capital transfers
. . . .
line 26
Net saving
. . . .
line 27
Less: Capital transfers paid (net)
2023 -532 30,265 30,265
line 28
Capital formation, net
2023 567,974 726,906 726,906
line 29
Gross fixed capital formation (acquisition of produced nonfinancial assets)
2023 2,687,198 2,483,218 2,483,218
line 30
Less: Consumption of fixed capital
2023 2,165,073 2,004,670 2,004,670
line 31
Acquisition of nonproduced nonfinancial assets
. . . .
line 32
Change in private inventories
2023 48,744 143,581 143,581
line 33
Net lending (+) or borrowing (-), capital account (lines 25-28)
. . . .
Financial account
line 34
Net lending (+) or borrowing (-) (line 33)
. . . .
line 35
Net acquisition of financial assets
2023 1,036,516 1,169,369 1,169,369
line 36
Currency and deposits
2023 108,919 -1,838 -1,838
line 37
Currency and transferable deposits
2023 -19,187 -30,519 -30,519
line 38
Time and savings deposits
2023 99,050 13,336 13,336
line 39
Foreign deposits
2023 21,756 24,351 24,351
line 40
Debt securities
2023 71,847 -18,452 -18,452
line 41
Open market paper
2023 28,549 -51,500 -51,500
line 42
Treasury securities
2023 37,659 23,992 23,992
line 43
Agency- and GSE-backed securities
2023 6,848 6,672 6,672
line 44
Municipal securities
2023 44 -199 -199
line 45
Loans
2023 58,858 -3,690 -3,690
line 46
Short term (security repos and consumer credit)
2023 645 1,730 1,730
line 47
Long term (mortgages)
2023 10,995 12,403 12,403
line 48
Equity and investment fund shares
2023 270,349 143,764 143,764
line 49
Money market fund shares
2023 175,968 -73,532 -73,532
line 50
Corporate equities
2023 -136,172 -136,173 -136,173
line 51
Mutual fund shares
2023 -4,372 -4,372 -4,372
line 52
U.S. direct investment abroad
2023 271,520 331,107 331,107
line 53
Equity in government-sponsored enterprises
2023 227 118 118
line 54
Investment in finance company subsidiaries
2023 7,089 -6,196 -6,196
line 55
Insurance, pension and standardized guarantee schemes
2023 45,114 33,075 33,075
line 56
Other accounts receivable
2023 481,428 1,016,510 1,016,510
line 57
Trade receivables
2023 201,530 181,093 181,093
line 59
Net incurrence of liabilities
2023 601,778 838,827 838,827
line 60
Debt securities
2023 236,653 78,855 78,855
line 61
Open market paper
2023 20,216 59,310 59,310
line 62
Municipal securities
2023 -1,426 719 719
line 63
Corporate bonds
2023 181,917 -3,177 -3,177
line 64
Loans
2023 49,479 623,379 623,379
line 65
Short term
2023 -8,675 467,953 467,953
line 66
Depository institution loans n.e.c.
2023 9,157 265,669 265,669
line 67
Other loans and advances
2023 -17,832 202,284 202,284
line 68
Long term (mortgages)
2023 58,154 155,426 155,426
line 69
Equity and investment fund shares
2023 -321,080 -271,549 -271,549
line 70
Corporate equities
2023 -611,724 -536,224 -536,224
line 71
Foreign direct investment in the United States
2023 292,439 334,195 334,195
line 72
Insurance, pension and standardized guarantee schemes
2023 62,999 56,748 56,748
line 73
Pension fund contributions payable
2023 -2,935 -1,944 -1,944
line 74
Claim of pension fund on sponsor
2023 65,934 58,692 58,692
line 75
Other accounts payable
2023 571,932 281,874 281,874
line 76
Trade payables
2023 112,302 248,300 248,300
line 77
Taxes payable
2023 -6,154 27,630 27,630
line 78
Miscellaneous liabilities
2023 465,783 5,944 5,944
Addendum:
line 79
Net lending (+) or borrowing (-), financial account (lines 35-59)
2023 434,738 330,542 330,542
Other changes in volume account
line 80
Total other volume changes
. . . .
line 81
Disaster losses
2023 2,897 -117,808 -117,808
line 82
Other volume changes
2023 -32,232 -184,479 -184,479
line 83
Less: Statistical discrepancy (lines 33-79)
. . . .
line 84
Less: Inventory valuation adjustment
2023 18,818 -96,235 -96,235
Revaluation account
line 85
Nonfinancial assets
2023 -844,646 513,177 513,177
line 86
Real estate
2023 -1,107,038 -40,250 -40,250
line 87
Equipment
2023 162,913 339,392 339,392
line 88
Intellectual property products
2023 150,401 123,004 123,004
line 89
Inventories
2023 -50,921 91,031 91,031
line 90
Financial assets
2023 1,493,887 -2,418,038 -2,418,038
line 91
Corporate equities
2023 569,220 -611,078 -611,078
line 92
Mutual fund shares
2023 53,105 -81,541 -81,541
line 93
Direct investment abroad
2023 867,318 -1,707,514 -1,707,514
line 94
Liabilities
2023 12,327,642 -13,251,841 -13,251,841
line 95
Corporate equity
2023 10,541,106 -11,348,785 -11,348,785
line 96
Foreign direct investment in the United States
2023 2,114,519 -2,476,062 -2,476,062
line 97
Insurance, pension and standardized guarantee schemes
2023 -327,984 573,006 573,006
line 98
Changes in net worth due to nominal holding gains/losses
2023 -11,678,401 11,346,980 11,346,980
Changes in balance sheet account
line 99
Change in net worth (lines 28+33+80+98)
2023 -10,723,842 12,198,376 12,198,376
Balance sheet account (end of period)
line 100
Total assets
2023 59,751,311 57,551,206 57,551,206
line 101
Nonfinancial assets
2023 30,219,620 30,549,917 30,549,917
line 102
Real estate
2023 16,166,268 17,088,699 17,088,699
line 103
Equipment
2023 6,540,566 6,282,640 6,282,640
line 104
Intellectual property products
2023 4,042,147 3,686,944 3,686,944
line 105
Inventories
2023 3,470,639 3,491,634 3,491,634
line 106
Financial assets
2023 29,531,691 27,001,289 27,001,289
line 107
Currency and deposits
2023 2,606,930 2,498,011 2,498,011
line 108
Currency and transferable deposits
2023 1,957,380 1,976,567 1,976,567
line 109
Time and savings deposits
2023 396,103 297,053 297,053
line 110
Foreign deposits
2023 212,402 190,646 190,646
line 111
Debt securities
2023 446,110 369,091 369,091
line 112
Open market paper
2023 233,301 204,752 204,752
line 113
Treasury securities
2023 131,977 91,704 91,704
line 114
Agency- and GSE-backed securities
2023 38,291 30,568 30,568
line 115
Municipal securities
2023 24,575 23,776 23,776
line 116
Loans
2023 195,329 153,526 153,526
line 117
Short term
2023 64,926 64,279 64,279
line 118
Security repurchases
2023 29,124 28,478 28,478
line 119
Consumer credit
2023 35,802 35,801 35,801
line 120
Long term (mortgages)
2023 77,030 66,035 66,035
line 121
Equity and investment fund shares
2023 11,935,232 10,191,095 10,191,095
line 122
Money market fund shares
2023 915,501 739,533 739,533
line 123
Corporate equities
2023 2,830,694 2,397,646 2,397,646
line 124
Mutual fund shares
2023 407,188 358,455 358,455
line 125
U.S. direct investment abroad
. . . .
line 126
Equity in government-sponsored enterprises
2023 1,908 1,681 1,681
line 127
Investment in finance company subsidiaries
2023 151,489 144,400 144,400
line 128
Insurance, pension and standardized guarantee schemes
2023 528,432 483,318 483,318
line 129
Other accounts receivable
2023 13,819,659 13,306,248 13,306,248
line 130
Trade receivables
2023 4,796,876 4,595,348 4,595,348
line 131
Other (miscellaneous assets)
2023 8,871,293 8,566,500 8,566,500
line 132
Total liabilities and net worth
2023 59,751,311 57,551,206 57,551,206
line 133
Liabilities
2023 90,402,354 77,478,406 77,478,406
line 134
Debt securities
2023 8,248,507 8,011,854 8,011,854
line 135
Open market paper
2023 217,769 197,553 197,553
line 136
Municipal securities
2023 617,606 619,032 619,032
line 137
Corporate bonds
2023 6,924,459 6,742,542 6,742,542
line 138
Loans
2023 5,388,356 5,427,453 5,427,453
line 139
Short term
2023 4,071,161 4,168,413 4,168,413
line 140
Depository institution loans n.e.c.
2023 1,484,029 1,474,872 1,474,872
line 141
Other loans and advances
2023 2,587,132 2,693,540 2,693,540
line 142
Long term (mortgages)
2023 1,317,195 1,259,041 1,259,041
line 143
Equity and investment fund shares
2023 63,082,042 50,747,565 50,747,565
line 144
Corporate equity
2023 51,547,171 41,617,789 41,617,789
line 145
Foreign direct investment in the United States
. . . .
line 146
Insurance, pension and standardized guarantee schemes
2023 524,041 789,026 789,026
line 147
Pension fund contributions payable
2023 65,997 68,932 68,932
line 148
Claim of pension fund on sponsor
2023 458,044 720,094 720,094
line 149
Other accounts payable
2023 12,783,642 12,120,847 12,120,847
line 150
Trade payables
2023 3,554,975 3,442,673 3,442,673
line 151
Taxes payable
2023 271,322 277,476 277,476
line 152
Miscellaneous liabilities
2023 8,957,345 8,400,698 8,400,698
line 153
Net worth
2023 -30,651,043 -19,927,200 -19,927,200
   

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