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Quarterly Tables:
S.3.q Households and Nonprofit Institutions Serving Households

   
    Q4 1945    
 
 
    Q2 2022
Line Name Q2 2022 Q1 2022 Q2 2021 Units
Current account
1
Gross value added
3,105,002 3,032,886 2,845,748 Mil. of $
2
Less: Consumption of fixed capital
796,276 773,113 694,447 Mil. of $
3
Equals: Net value added
2,308,726 2,259,773 2,151,301 Mil. of $
4
Compensation paid by households and NPISHs
1,187,521 1,166,399 1,081,681 Mil. of $
5
Taxes on production and imports less subsidies
242,387 236,836 221,026 Mil. of $
6
Operating surplus, net
878,818 856,538 848,594 Mil. of $
7
Net national income/Balance of primary incomes, net
19,127,162 18,776,227 17,641,291 Mil. of $
8
Operating surplus, net
878,818 856,538 848,594 Mil. of $
9
Compensation of employees (received)
13,669,018 13,424,902 12,416,592 Mil. of $
10
Wages and salaries
11,298,334 11,084,718 10,180,397 Mil. of $
11
Employers’ social contributions
2,370,684 2,340,184 2,236,195 Mil. of $
12
Property income received, net
4,579,326 4,494,787 4,376,105 Mil. of $
13
Net national income/Balance of primary incomes, net
19,127,162 18,776,227 17,641,291 Mil. of $
14
Less: Current taxes on income, wealth, etc. (paid)
3,127,002 3,060,931 2,532,498 Mil. of $
15
Plus: Social benefits (received)
3,841,012 3,829,059 4,257,778 Mil. of $
16
Less: Social contributions (paid)
1,728,397 1,698,874 1,572,241 Mil. of $
17
Plus: Other current transfers (received)
73,841 67,735 71,235 Mil. of $
18
Less: Other current transfers (paid)
222,583 220,187 211,495 Mil. of $
19
Equals: Disposable income, net
17,964,033 17,693,029 17,654,070 Mil. of $
20
Less: Final consumption expenditures
17,019,048 16,670,093 15,681,699 Mil. of $
21
Equals: Net saving
944,985 1,022,936 1,972,371 Mil. of $
Capital account
22
Net saving less capital transfers
920,915 999,116 1,952,843 Mil. of $
23
Net saving
944,985 1,022,936 1,972,371 Mil. of $
24
Less: Capital transfers paid (net)
24,070 23,820 19,528 Mil. of $
25
Capital formation, net
359,490 407,940 385,427 Mil. of $
26
Gross fixed capital formation, excluding consumer durables
1,171,622 1,196,799 1,094,921 Mil. of $
27
Residential
912,295 939,236 856,620 Mil. of $
28
Nonresidential (nonprofit organizations)
259,327 257,563 238,301 Mil. of $
29
Less: Consumption of fixed capital
796,276 773,113 694,447 Mil. of $
30
Acquisition of nonproduced nonfinancial assets
-15,856 -15,746 -15,047 Mil. of $
31
Net lending (+) or borrowing (-), capital account (lines 22-25)
561,425 591,176 1,567,416 Mil. of $
Financial account
32
Net lending (+) or borrowing (-) (line 31)
561,425 591,176 1,567,416 Mil. of $
33
Net acquisition of financial assets
1,203,312 2,054,860 3,325,056 Mil. of $
34
Currency and deposits
271,183 1,046,722 1,570,529 Mil. of $
35
Currency and transferable deposits
1,561,586 915,704 1,843,001 Mil. of $
36
Foreign deposits
-8,954 1,180 -5,112 Mil. of $
37
Time and savings deposits
-1,281,448 129,839 -267,359 Mil. of $
38
Postal savings system deposits
0 0 0 Mil. of $
39
Debt securities
1,762,523 166,725 123,041 Mil. of $
40
Treasury securities
755,025 555,652 -421,186 Mil. of $
41
Agency- and GSE-backed securities
781,534 273,068 338,763 Mil. of $
42
Municipal securities
165,116 -132,181 -81,958 Mil. of $
43
Corporate and foreign bonds
60,848 -529,815 287,422 Mil. of $
44
Loans
-226,210 520,858 53,140 Mil. of $
45
Short term
-220,940 524,236 58,656 Mil. of $
46
Long term (mortgages)
-5,270 -3,378 -5,516 Mil. of $
47
Equity and investment fund shares
-1,160,688 -149,176 1,255,499 Mil. of $
48
Corporate equities
-76,230 727,683 1,077,875 Mil. of $
49
Mutual fund shares
-1,140,487 -687,743 103,184 Mil. of $
50
Money market fund shares
73,284 -113,501 26,883 Mil. of $
51
Equity in noncorporate business
-17,255 -75,615 47,556 Mil. of $
52
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
53
Insurance, pension and standardized guarantee schemes
556,792 476,182 345,695 Mil. of $
54
Insurance receivables due from property-casualty insurance companies
74,620 27,076 43,500 Mil. of $
55
Life insurance reserves
55,532 1,272 39,100 Mil. of $
56
Pension entitlements
393,296 402,126 235,303 Mil. of $
57
Non-life insurance reserves at life insurance companies
-2,636 17,656 4,212 Mil. of $
58
Retiree Health Care Funds
35,979 28,053 23,580 Mil. of $
59
Other accounts receivable (trade receivables)
7,292 7,292 6,944 Mil. of $
60
Net incurrence of liabilities
1,358,969 1,494,988 1,270,227 Mil. of $
61
Debt securities (municipals)
-9,160 8,616 -576 Mil. of $
62
Loans
1,364,529 1,472,536 1,267,295 Mil. of $
63
Short term
315,798 454,690 369,211 Mil. of $
64
Consumer credit
385,158 372,618 275,315 Mil. of $
65
Depository institution loans n.e.c.
84,216 53,276 5,384 Mil. of $
66
Other loans and advances
-153,576 28,796 88,512 Mil. of $
67
Long term (mortgages)
1,048,731 1,017,846 898,084 Mil. of $
68
Insurance, pension and standardized guarantee schemes
-3,188 7,048 -3,276 Mil. of $
69
Other accounts payable (trade debt)
6,788 6,788 6,784 Mil. of $
Addendum:
70
Net lending (+) or borrowing (-), financial account (lines 33-60)
-155,657 559,872 2,054,829 Mil. of $
Other changes in volume account
71
Total other volume changes
71,338 720,868 -78,666 Mil. of $
72
Net investment in consumer durable goods
119,781 130,442 174,571 Mil. of $
73
Disaster losses
0 0 0 Mil. of $
74
Other volume changes
427,051 570,856 -74,772 Mil. of $
75
Less: Statistical discrepancy ((lines 31-70)/4)
475,494 -19,570 178,465 Mil. of $
Revaluation account
76
Nonfinancial assets
1,375,367 1,711,572 1,666,058 Mil. of $
77
Real estate
1,338,076 1,588,370 1,422,804 Mil. of $
78
Consumer durable goods
24,231 113,407 247,269 Mil. of $
79
Equipment
10,803 8,635 -4,453 Mil. of $
80
Intellectual property products
2,258 1,159 439 Mil. of $
81
Financial assets
-7,733,437 -2,944,763 3,947,110 Mil. of $
82
Debt securities
-137,289 -192,011 40,536 Mil. of $
83
Corporate equities
-4,937,662 -1,724,945 2,007,305 Mil. of $
84
Mutual fund shares
-1,491,112 -808,284 582,719 Mil. of $
85
Equity in noncorporate business
334,249 518,172 622,764 Mil. of $
86
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
87
Insurance, pension and standardized guarantee schemes
-1,501,623 -737,695 693,787 Mil. of $
88
Changes in net worth due to nominal holding gains/losses
-6,358,070 -1,233,192 5,613,169 Mil. of $
Changes in balance sheet account
89
Change in net worth ((lines 25+31)/4 + lines 71+88)
-6,099,900 -147,129 6,018,029 Mil. of $
Balance sheet account (end of period)
90
Total assets
162,686.295 168,422.479 159,790.218 Bil. of $
91
Nonfinancial assets
53,984,304 52,397,324 46,869,828 Mil. of $
92
Real estate
45,531.199 44,109.590 39,472.892 Bil. of $
93
Consumer durable goods
7,673,605 7,529,593 6,688,916 Mil. of $
94
Equipment
559,511 541,770 498,579 Mil. of $
95
Intellectual property products
219,989 216,371 209,441 Mil. of $
96
Financial assets
108,701.991 116,025.155 112,920.390 Bil. of $
97
Currency and deposits
15,796,623 15,927,738 14,846,473 Mil. of $
98
Currency and transferable deposits
4,885.933 4,589.676 4,025.585 Bil. of $
99
Foreign deposits
46,268 48,507 48,534 Mil. of $
100
Time and savings deposits
10,864.422 11,289.555 10,772.354 Bil. of $
101
Postal savings system deposits
0 0 0 Mil. of $
102
Debt securities
3,804,573 3,247,609 3,162,261 Mil. of $
103
Treasury securities
1,211,977 1,042,055 799,149 Mil. of $
104
Agency- and GSE-backed securities
601,584 350,236 269,024 Mil. of $
105
Municipal securities
1,609,322 1,643,766 1,879,489 Mil. of $
106
Corporate and foreign bonds
381,690 211,552 214,599 Mil. of $
107
Loans
1,411,252 1,467,805 1,276,407 Mil. of $
108
Short term
1,337,532 1,392,768 1,198,008 Mil. of $
109
Long term (mortgages)
73.720 75.037 78.399 Bil. of $
110
Equity and investment fund shares
54,123,778 60,492,527 58,984,314 Mil. of $
111
Corporate equities
25,289.646 30,237.641 30,328.842 Bil. of $
112
Mutual fund shares
9,968.737 11,739.208 11,983.168 Bil. of $
113
Money market fund shares
2,722.674 2,726.456 2,775.012 Bil. of $
114
Equity in noncorporate business
16,142,721 15,789,221 13,897,292 Mil. of $
115
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
116
Insurance, pension and standardized guarantee schemes
33,271,346 34,594,984 34,346,830 Mil. of $
117
Insurance receivables due from property-casualty insurance companies
697,983 679,328 650,264 Mil. of $
118
Life insurance reserves
1,887.506 1,919.562 1,910.278 Bil. of $
119
Pension entitlements
29,929,831 31,245,937 31,072,687 Mil. of $
120
Non-life insurance reserves at life insurance companies
402,687 403,346 387,860 Mil. of $
121
Retiree Health Care Funds
353,339 346,811 325,741 Mil. of $
122
Other accounts receivable (trade receivables)
289,564 287,741 282,446 Mil. of $
123
Total liabilities and net worth
162,686,295 168,422,479 159,790,218 Mil. of $
124
Liabilities
18,923.162 18,559.445 17,661.375 Bil. of $
125
Debt securities (municipals)
199.612 201.902 201.903 Bil. of $
126
Loans
18,298,074 17,932,967 17,041,928 Mil. of $
127
Short term
5,876,416 5,774,364 5,514,983 Mil. of $
128
Consumer credit
4,581.997 4,462.605 4,259.106 Bil. of $
129
Depository institution loans n.e.c.
458.194 437.140 371.683 Bil. of $
130
Other loans and advances
836.225 874.619 884.194 Bil. of $
131
Long term (mortgages)
12,421,658 12,158,603 11,526,945 Mil. of $
132
Insurance, pension and standardized guarantee schemes
39.039 39.836 37.893 Bil. of $
133
Other accounts payable (trade debt)
386,437 384,740 379,651 Mil. of $
134
Net worth
143,763.133 149,863.033 142,128.842 Bil. of $
   

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