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Annual Tables:
S.5.a Nonfinancial Corporate Business

   
    1945    
 
 
    2018
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
Current Account
1
Gross value added
2018 10,129,323 9,644,388 9,644,388
2
Less: Consumption of fixed capital
2018 1,563,641 1,490,965 1,490,965
3
Equals: Net value added
2018 8,565,682 8,153,423 8,153,423
4
Compensation of employees (paid)
2018 5,934,190 5,695,288 5,695,288
5
Wages and salaries
2018 4,981,740 4,779,475 4,779,475
6
Employers’ social contributions
2018 952,449 915,813 915,813
7
Taxes on production and imports less subsidies
2018 869,962 828,468 828,468
8
Operating surplus, net
2018 1,761,531 1,629,667 1,629,667
9
Net national income/Balance of primary incomes, net
2018 882,777 804,843 804,843
10
Operating surplus, net
2018 1,761,531 1,629,667 1,629,667
11
Property income (received)
. . . .
12
Interest
. . . .
13
Distributed income of corporations (dividends)
. . . .
14
Reinvested earnings on U.S. direct investment abroad
. . . .
15
Less: Uses of property income (paid)
. . . .
16
Interest
. . . .
17
Distributed income of corporations (dividends)
. . . .
18
Reinvested earnings on foreign direct investment
. . . .
19
Rent
. . . .
20
Net national income/Balance of primary incomes, net
2018 882,777 804,843 804,843
21
Less: Current taxes on income, wealth, etc. (paid)
2018 165,277 246,992 246,992
22
Less: Other current transfers (paid)
2018 89,788 89,571 89,571
23
Equals: Disposable income, net
2018 627,712 468,281 468,281
24
Equals: Net saving
2018 627,712 468,281 468,281
Capital account
25
Net saving less capital transfers
2018 634,112 288,019 288,019
26
Net saving
2018 627,712 468,281 468,281
27
Less: Capital transfers paid (net)
2018 -6,401 180,262 180,262
28
Capital formation, net
2018 522,587 397,112 397,112
29
Gross fixed capital formation (acquisition of produced nonfinancial assets)
2018 2,036,809 1,862,806 1,862,806
30
Less: Consumption of fixed capital
2018 1,563,641 1,490,965 1,490,965
31
Acquisition of nonproduced nonfinancial assets
2018 -599 506 506
32
Change in private inventories
2018 50,018 24,765 24,765
33
Net lending (+) or borrowing (-), capital account (lines 25-28)
2018 111,526 -109,093 -109,093
Financial account
34
Net lending (+) or borrowing (-) (line 33)
2018 111,526 -109,093 -109,093
35
Net acquisition of financial assets
2018 289,704 632,444 632,444
36
Currency and deposits
2018 -208,600 116,022 116,022
37
Currency and transferable deposits
2018 -79,574 -5,551 -5,551
38
Time and savings deposits
2018 -759 -5,786 -5,786
39
Foreign deposits
2018 -128,267 127,359 127,359
40
Debt securities
2018 2,212 38,473 38,473
41
Open market paper
2018 24,283 330 330
42
Treasury securities
2018 -14,539 30,110 30,110
43
Agency- and GSE-backed securities
2018 -4,846 10,037 10,037
44
Municipal securities
2018 -2,686 -2,004 -2,004
45
Loans
2018 4,817 -21,484 -21,484
46
Short term (security repos and consumer credit)
2018 -19,076 -45,877 -45,877
47
Long term (mortgages)
2018 23,893 24,393 24,393
48
Equity and investment fund shares
2018 -147,688 209,489 209,489
49
Money market fund shares
2018 -9,343 11,624 11,624
50
Corporate equities
2018 -77,358 -99,405 -99,405
51
Mutual fund shares
2018 -9,920 7,568 7,568
52
U.S. direct investment abroad
2018 -53,598 276,911 276,911
53
Equity in government-sponsored enterprises
2018 71 270 270
54
Investment in finance company subsidiaries
2018 2,460 12,521 12,521
55
Insurance, pension and standardized guarantee schemes
2018 11,603 14,191 14,191
56
Other accounts receivable
2018 627,360 275,753 275,753
57
Trade receivables
2018 139,270 162,489 162,489
59
Net incurrence of liabilities
2018 434,101 692,515 692,515
60
Debt securities
2018 109,179 314,361 314,361
61
Open market paper
2018 -10,203 25,887 25,887
62
Municipal securities
2018 -4,255 13,727 13,727
63
Corporate bonds
2018 123,637 274,747 274,747
64
Loans
2018 190,217 216,057 216,057
65
Short term
2018 113,896 163,003 163,003
66
Depository institution loans n.e.c.
2018 125,701 35,734 35,734
67
Other loans and advances
2018 -11,805 127,269 127,269
68
Long term (mortgages)
2018 76,321 53,054 53,054
69
Equity and investment fund shares
2018 -274,392 -72,409 -72,409
70
Corporate equities
2018 -506,591 -320,845 -320,845
71
Foreign direct investment in the United States
2018 232,199 248,436 248,436
72
Insurance, pension and standardized guarantee schemes
2018 5,054 22,024 22,024
73
Pension fund contributions payable
2018 8,976 6,066 6,066
74
Claim of pension fund on sponsor
2018 -3,922 15,958 15,958
75
Other accounts payable
2018 404,044 212,482 212,482
76
Trade payables
2018 140,636 82,134 82,134
77
Taxes payable
2018 -16,656 212,671 212,671
78
Miscellaneous liabilities
2018 280,064 -82,323 -82,323
Addendum:
79
Net lending (+) or borrowing (-), financial account (lines 35-59)
2018 -144,397 -60,071 -60,071
Other changes in volume account
80
Total other volume changes
2018 704,414 133,406 133,406
81
Disaster losses
2018 0 -22,320 -22,320
82
Other volume changes
2018 911,476 61,197 61,197
83
Less: Statistical discrepancy (lines 33-79)
2018 255,923 -49,022 -49,022
84
Less: Inventory valuation adjustment
2018 -48,861 -45,507 -45,507
Revaluation account
85
Nonfinancial assets
2018 27,260 1,006,215 1,006,215
86
Real estate
2018 -33,797 888,855 888,855
87
Equipment
2018 12,213 20,750 20,750
88
Intellectual property products
2018 41,919 62,410 62,410
89
Inventories
2018 6,926 34,200 34,200
90
Financial assets
2018 -156,672 477,685 477,685
91
Corporate equities
2018 -115,737 326,030 326,030
92
Mutual fund shares
2018 -22,150 37,261 37,261
93
Direct investment abroad
2018 -18,785 114,394 114,394
94
Liabilities
2018 -1,799,272 4,024,069 4,024,069
95
Corporate equity
2018 -2,070,674 4,285,546 4,285,546
96
Foreign direct investment in the United States
2018 82,729 2,131 2,131
97
Insurance, pension and standardized guarantee schemes
2018 188,673 -263,608 -263,608
98
Changes in net worth due to nominal holding gains/losses
2018 1,669,860 -2,540,169 -2,540,169
Changes in balance sheet account
99
Change in net worth (lines 28+33+80+98)
2018 3,008,387 -2,118,744 -2,118,744
Balance sheet account (end of period)
100
Total assets
2018 44,680,757 43,971,163 43,971,163
101
Nonfinancial assets
2018 23,371,635 22,813,546 22,813,546
102
Real estate
2018 13,075,725 12,976,997 12,976,997
103
Equipment
2018 5,055,147 4,856,842 4,856,842
104
Intellectual property products
2018 2,716,052 2,560,801 2,560,801
105
Inventories
2018 2,524,711 2,418,906 2,418,906
106
Financial assets
2018 21,309,122 21,157,616 21,157,616
107
Currency and deposits
2018 1,152,353 1,360,954 1,360,954
108
Currency and transferable deposits
2018 906,640 986,215 986,215
109
Time and savings deposits
2018 156,313 157,072 157,072
110
Foreign deposits
2018 89,400 217,667 217,667
111
Debt securities
2018 239,021 236,809 236,809
112
Open market paper
2018 148,785 124,502 124,502
113
Treasury securities
2018 56,756 71,295 71,295
114
Agency- and GSE-backed securities
2018 18,919 23,765 23,765
115
Municipal securities
2018 14,561 17,247 17,247
116
Loans
2018 138,952 134,136 134,136
117
Short term
2018 59,341 78,418 78,418
118
Security repurchases
2018 20,723 39,798 39,798
119
Consumer credit
2018 38,618 38,620 38,620
120
Long term (mortgages)
2018 79,611 55,718 55,718
121
Equity and investment fund shares
2018 8,253,752 8,558,112 8,558,112
122
Money market fund shares
2018 466,316 475,659 475,659
123
Corporate equities
2018 1,749,059 1,942,154 1,942,154
124
Mutual fund shares
2018 271,004 303,074 303,074
125
U.S. direct investment abroad
2018 5,652,984 5,725,367 5,725,367
126
Equity in government-sponsored enterprises
2018 1,237 1,166 1,166
127
Investment in finance company subsidiaries
2018 113,152 110,692 110,692
128
Insurance, pension and standardized guarantee schemes
2018 377,425 365,822 365,822
129
Other accounts receivable
2018 11,147,619 10,501,783 10,501,783
130
Trade receivables
2018 3,253,282 3,114,011 3,114,011
131
Other (miscellaneous assets)
2018 7,894,337 7,387,772 7,387,772
132
Total liabilities and net worth
2018 44,680,757 43,971,163 43,971,163
133
Liabilities
2018 45,538,563 47,837,355 47,837,355
134
Debt securities
2018 6,283,869 6,174,690 6,174,690
135
Open market paper
2018 196,467 206,670 206,670
136
Municipal securities
2018 562,606 566,861 566,861
137
Corporate bonds
2018 5,524,796 5,401,159 5,401,159
138
Loans
2018 3,440,797 2,908,083 2,908,083
139
Short term
2018 2,855,822 2,391,927 2,391,927
140
Depository institution loans n.e.c.
2018 1,130,101 1,004,401 1,004,401
141
Other loans and advances
2018 1,725,721 1,387,526 1,387,526
142
Long term (mortgages)
2018 584,975 516,155 516,155
143
Equity and investment fund shares
2018 30,016,823 32,279,160 32,279,160
144
Corporate equity
2018 25,808,573 28,385,838 28,385,838
145
Foreign direct investment in the United States
2018 4,208,250 3,893,322 3,893,322
146
Insurance, pension and standardized guarantee schemes
2018 654,741 441,583 441,583
147
Pension fund contributions payable
2018 110,204 101,228 101,228
148
Claim of pension fund on sponsor
2018 544,537 340,355 340,355
149
Other accounts payable
2018 5,142,333 6,033,839 6,033,839
150
Trade payables
2018 2,517,041 2,376,406 2,376,406
151
Taxes payable
2018 229,471 246,127 246,127
152
Miscellaneous liabilities
2018 2,395,821 3,411,306 3,411,306
153
Net worth
2018 -857,806 -3,866,193 -3,866,193
   

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