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Quarterly Tables

S.3.q Households and Nonprofit Institutions Serving Households

   

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    Q4 1945    
 
 
    Q3 2023
Line Name Q3 2023 Q2 2023 Q3 2022 Units
Current account
line 1
Gross value added
3,477,033 Millions of Dollars 3,419,569 Millions of Dollars 3,210,737 Millions of Dollars Mil. of $
line 2
Less: Consumption of fixed capital
862,386 Millions of Dollars 848,311 Millions of Dollars 835,664 Millions of Dollars Mil. of $
line 3
Equals: Net value added
2,614,647 Millions of Dollars 2,571,258 Millions of Dollars 2,375,073 Millions of Dollars Mil. of $
line 4
Compensation paid by households and NPISHs
1,240,199 Millions of Dollars 1,223,407 Millions of Dollars 1,160,249 Millions of Dollars Mil. of $
line 5
Taxes on production and imports less subsidies
249,758 Millions of Dollars 246,038 Millions of Dollars 234,987 Millions of Dollars Mil. of $
line 6
Operating surplus, net
1,124,690 Millions of Dollars 1,101,813 Millions of Dollars 979,837 Millions of Dollars Mil. of $
line 7
Net national income/Balance of primary incomes, net
20,262,999 Millions of Dollars 20,059,261 Millions of Dollars 19,412,854 Millions of Dollars Mil. of $
line 8
Operating surplus, net
1,124,690 Millions of Dollars 1,101,813 Millions of Dollars 979,837 Millions of Dollars Mil. of $
line 9
Compensation of employees (received)
14,348,892 Millions of Dollars 14,154,120 Millions of Dollars 13,609,216 Millions of Dollars Mil. of $
line 10
Wages and salaries
11,898,976 Millions of Dollars 11,733,262 Millions of Dollars 11,271,419 Millions of Dollars Mil. of $
line 11
Employers’ social contributions
2,449,916 Millions of Dollars 2,420,858 Millions of Dollars 2,337,797 Millions of Dollars Mil. of $
line 12
Property income received, net
4,789,417 Millions of Dollars 4,803,328 Millions of Dollars 4,823,801 Millions of Dollars Mil. of $
line 13
Net national income/Balance of primary incomes, net
20,262,999 Millions of Dollars 20,059,261 Millions of Dollars 19,412,854 Millions of Dollars Mil. of $
line 14
Less: Current taxes on income, wealth, etc. (paid)
2,778,120 Millions of Dollars 2,703,839 Millions of Dollars 3,137,041 Millions of Dollars Mil. of $
line 15
Plus: Social benefits (received)
3,989,325 Millions of Dollars 4,017,285 Millions of Dollars 3,882,904 Millions of Dollars Mil. of $
line 16
Less: Social contributions (paid)
1,814,703 Millions of Dollars 1,793,975 Millions of Dollars 1,726,068 Millions of Dollars Mil. of $
line 17
Plus: Other current transfers (received)
105,876 Millions of Dollars 102,842 Millions of Dollars 98,876 Millions of Dollars Mil. of $
line 18
Less: Other current transfers (paid)
238,448 Millions of Dollars 235,016 Millions of Dollars 234,721 Millions of Dollars Mil. of $
line 19
Equals: Disposable income, net
19,526,929 Millions of Dollars 19,446,558 Millions of Dollars 18,296,804 Millions of Dollars Mil. of $
line 20
Less: Final consumption expenditures
18,711,558 Millions of Dollars 18,419,007 Millions of Dollars 17,684,189 Millions of Dollars Mil. of $
line 21
Equals: Net saving
815,371 Millions of Dollars 1,027,551 Millions of Dollars 612,615 Millions of Dollars Mil. of $
Capital account
line 22
Net saving less capital transfers
1,238,420 Millions of Dollars 1,022,265 Millions of Dollars 687,090 Millions of Dollars Mil. of $
line 23
Net saving
815,371 Millions of Dollars 1,027,551 Millions of Dollars 612,615 Millions of Dollars Mil. of $
line 24
Less: Capital transfers paid (net)
-423,049 Millions of Dollars 5,286 Millions of Dollars -74,475 Millions of Dollars Mil. of $
line 25
Capital formation, net
311,843 Millions of Dollars 306,531 Millions of Dollars 376,990 Millions of Dollars Mil. of $
line 26
Gross fixed capital formation, excluding consumer durables
1,190,314 Millions of Dollars 1,170,786 Millions of Dollars 1,228,269 Millions of Dollars Mil. of $
line 27
Residential
899,856 Millions of Dollars 882,134 Millions of Dollars 955,092 Millions of Dollars Mil. of $
line 28
Nonresidential (nonprofit organizations)
290,458 Millions of Dollars 288,652 Millions of Dollars 273,177 Millions of Dollars Mil. of $
line 29
Less: Consumption of fixed capital
862,386 Millions of Dollars 848,311 Millions of Dollars 835,664 Millions of Dollars Mil. of $
line 30
Acquisition of nonproduced nonfinancial assets
-16,085 Millions of Dollars -15,944 Millions of Dollars -15,615 Millions of Dollars Mil. of $
line 31
Net lending (+) or borrowing (-), capital account (lines 22-25)
926,577 Millions of Dollars 715,734 Millions of Dollars 310,100 Millions of Dollars Mil. of $
Financial account
line 32
Net lending (+) or borrowing (-) (line 31)
926,577 Millions of Dollars 715,734 Millions of Dollars 310,100 Millions of Dollars Mil. of $
line 33
Net acquisition of financial assets
1,187,728 Millions of Dollars 2,131,731 Millions of Dollars 1,547,008 Millions of Dollars Mil. of $
line 34
Currency and deposits
-511,144 Millions of Dollars -35,699 Millions of Dollars -823,957 Millions of Dollars Mil. of $
line 35
Currency and transferable deposits
-685,468 Millions of Dollars 26,643 Millions of Dollars 639,181 Millions of Dollars Mil. of $
line 36
Foreign deposits
-2,904 Millions of Dollars -4,660 Millions of Dollars 6,196 Millions of Dollars Mil. of $
line 37
Time and savings deposits
177,227 Millions of Dollars -57,682 Millions of Dollars -1,469,334 Millions of Dollars Mil. of $
line 38
Postal savings system deposits
0 Millions of Dollars 0 Millions of Dollars 0 Millions of Dollars Mil. of $
line 39
Debt securities
417,326 Millions of Dollars 859,642 Millions of Dollars 1,439,031 Millions of Dollars Mil. of $
line 40
Treasury securities
652,513 Millions of Dollars 1,296,233 Millions of Dollars 1,487,748 Millions of Dollars Mil. of $
line 41
Agency- and GSE-backed securities
211,275 Millions of Dollars -320,240 Millions of Dollars 928,177 Millions of Dollars Mil. of $
line 42
Municipal securities
45,796 Millions of Dollars 129,905 Millions of Dollars 7,222 Millions of Dollars Mil. of $
line 43
Corporate and foreign bonds
-492,258 Millions of Dollars -246,256 Millions of Dollars -984,116 Millions of Dollars Mil. of $
line 44
Loans
-266,423 Millions of Dollars -3,854 Millions of Dollars -269,812 Millions of Dollars Mil. of $
line 45
Short term
-264,268 Millions of Dollars 1,752 Millions of Dollars -261,684 Millions of Dollars Mil. of $
line 46
Long term (mortgages)
-2,155 Millions of Dollars -5,606 Millions of Dollars -8,128 Millions of Dollars Mil. of $
line 47
Equity and investment fund shares
1,075,538 Millions of Dollars 558,928 Millions of Dollars 449,416 Millions of Dollars Mil. of $
line 48
Corporate equities
770,805 Millions of Dollars -282,167 Millions of Dollars 726,954 Millions of Dollars Mil. of $
line 49
Mutual fund shares
-206,686 Millions of Dollars 110,531 Millions of Dollars -467,237 Millions of Dollars Mil. of $
line 50
Money market fund shares
479,689 Millions of Dollars 687,185 Millions of Dollars 221,191 Millions of Dollars Mil. of $
line 51
Equity in noncorporate business
31,730 Millions of Dollars 43,379 Millions of Dollars -31,493 Millions of Dollars Mil. of $
line 52
Equity investment under Public-Private Inv. Program
0 Millions of Dollars 0 Millions of Dollars 0 Millions of Dollars Mil. of $
line 53
Insurance, pension and standardized guarantee schemes
465,439 Millions of Dollars 746,539 Millions of Dollars 764,775 Millions of Dollars Mil. of $
line 54
Insurance receivables due from property-casualty insurance companies
72,404 Millions of Dollars 65,496 Millions of Dollars 95,884 Millions of Dollars Mil. of $
line 55
Life insurance reserves
11,200 Millions of Dollars 74,528 Millions of Dollars 67,528 Millions of Dollars Mil. of $
line 56
Pension entitlements
361,008 Millions of Dollars 575,135 Millions of Dollars 559,023 Millions of Dollars Mil. of $
line 57
Non-life insurance reserves at life insurance companies
5,824 Millions of Dollars 6,816 Millions of Dollars 10,220 Millions of Dollars Mil. of $
line 58
Retiree Health Care Funds
15,002 Millions of Dollars 24,564 Millions of Dollars 32,120 Millions of Dollars Mil. of $
line 59
Other accounts receivable (trade receivables)
6,992 Millions of Dollars 6,992 Millions of Dollars 6,940 Millions of Dollars Mil. of $
line 60
Net incurrence of liabilities
529,568 Millions of Dollars 559,410 Millions of Dollars 1,225,435 Millions of Dollars Mil. of $
line 61
Debt securities (municipals)
132 Millions of Dollars 8,980 Millions of Dollars -2,968 Millions of Dollars Mil. of $
line 62
Loans
495,032 Millions of Dollars 518,710 Millions of Dollars 1,195,231 Millions of Dollars Mil. of $
line 63
Short term
146,082 Millions of Dollars 124,225 Millions of Dollars 349,679 Millions of Dollars Mil. of $
line 64
Consumer credit
52,426 Millions of Dollars 102,705 Millions of Dollars 327,363 Millions of Dollars Mil. of $
line 65
Depository institution loans n.e.c.
-1,212 Millions of Dollars -23,180 Millions of Dollars 45,348 Millions of Dollars Mil. of $
line 66
Other loans and advances
94,868 Millions of Dollars 44,700 Millions of Dollars -23,032 Millions of Dollars Mil. of $
line 67
Long term (mortgages)
348,950 Millions of Dollars 394,485 Millions of Dollars 845,552 Millions of Dollars Mil. of $
line 68
Insurance, pension and standardized guarantee schemes
2,760 Millions of Dollars 76 Millions of Dollars 68 Millions of Dollars Mil. of $
line 69
Other accounts payable (trade debt)
31,644 Millions of Dollars 31,644 Millions of Dollars 33,104 Millions of Dollars Mil. of $
Addendum:
line 70
Net lending (+) or borrowing (-), financial account (lines 33-60)
658,161 Millions of Dollars 1,572,322 Millions of Dollars 321,573 Millions of Dollars Mil. of $
Other changes in volume account
line 71
Total other volume changes
201,073 Millions of Dollars 74,759 Millions of Dollars -80,331 Millions of Dollars Mil. of $
line 72
Net investment in consumer durable goods
92,119 Millions of Dollars 94,951 Millions of Dollars 97,903 Millions of Dollars Mil. of $
line 73
Disaster losses
0 Millions of Dollars 0 Millions of Dollars -29,181 Millions of Dollars Mil. of $
line 74
Other volume changes
115,048 Millions of Dollars 93,180 Millions of Dollars -194,894 Millions of Dollars Mil. of $
line 75
Less: Statistical discrepancy ((lines 31-70)/4)
6,094 Millions of Dollars 113,372 Millions of Dollars -45,841 Millions of Dollars Mil. of $
Revaluation account
line 76
Nonfinancial assets
327,116 Millions of Dollars 2,518,850 Millions of Dollars -1,227,392 Millions of Dollars Mil. of $
line 77
Real estate
400,614 Millions of Dollars 2,508,720 Millions of Dollars -1,301,855 Millions of Dollars Mil. of $
line 78
Consumer durable goods
-80,850 Millions of Dollars 8,726 Millions of Dollars 67,734 Millions of Dollars Mil. of $
line 79
Equipment
4,748 Millions of Dollars -789 Millions of Dollars 4,541 Millions of Dollars Mil. of $
line 80
Intellectual property products
2,604 Millions of Dollars 2,194 Millions of Dollars 2,189 Millions of Dollars Mil. of $
line 81
Financial assets
-2,146,538 Millions of Dollars 2,842,897 Millions of Dollars -2,350,948 Millions of Dollars Mil. of $
line 82
Debt securities
-189,105 Millions of Dollars -67,881 Millions of Dollars -153,298 Millions of Dollars Mil. of $
line 83
Corporate equities
-1,236,967 Millions of Dollars 1,840,436 Millions of Dollars -1,141,711 Millions of Dollars Mil. of $
line 84
Mutual fund shares
-371,205 Millions of Dollars 411,205 Millions of Dollars -562,656 Millions of Dollars Mil. of $
line 85
Equity in noncorporate business
10,558 Millions of Dollars 211,321 Millions of Dollars 2,850 Millions of Dollars Mil. of $
line 86
Equity investment under Public-Private Inv. Program
0 Millions of Dollars 0 Millions of Dollars 0 Millions of Dollars Mil. of $
line 87
Insurance, pension and standardized guarantee schemes
-359,818 Millions of Dollars 447,816 Millions of Dollars -496,132 Millions of Dollars Mil. of $
line 88
Changes in net worth due to nominal holding gains/losses
-1,819,422 Millions of Dollars 5,361,748 Millions of Dollars -3,578,339 Millions of Dollars Mil. of $
Changes in balance sheet account
line 89
Change in net worth ((lines 25+31)/4 + lines 71+88)
-1,311,712 Millions of Dollars 5,660,792 Millions of Dollars -3,488,575 Millions of Dollars Mil. of $
Balance sheet account (end of period)
line 90
Total assets
171,265.885 Billions of Dollars 172,427.752 Billions of Dollars 162,526.658 Billions of Dollars Bil. of $
line 91
Nonfinancial assets
58,842,081 Millions of Dollars 58,347,546 Millions of Dollars 56,536,276 Millions of Dollars Mil. of $
line 92
Real estate
50,064.245 Billions of Dollars 49,595.243 Billions of Dollars 48,093.133 Billions of Dollars Bil. of $
line 93
Consumer durable goods
7,850,265 Millions of Dollars 7,838,996 Millions of Dollars 7,576,325 Millions of Dollars Mil. of $
line 94
Equipment
659,230 Millions of Dollars 649,961 Millions of Dollars 617,815 Millions of Dollars Mil. of $
line 95
Intellectual property products
268,341 Millions of Dollars 263,346 Millions of Dollars 249,003 Millions of Dollars Mil. of $
line 96
Financial assets
112,423.804 Billions of Dollars 114,080.206 Billions of Dollars 105,990.382 Billions of Dollars Bil. of $
line 97
Currency and deposits
14,084,457 Millions of Dollars 14,239,328 Millions of Dollars 15,189,022 Millions of Dollars Mil. of $
line 98
Currency and transferable deposits
4,231.912 Billions of Dollars 4,462.612 Billions of Dollars 4,792.944 Billions of Dollars Bil. of $
line 99
Foreign deposits
49,146 Millions of Dollars 49,872 Millions of Dollars 53,015 Millions of Dollars Mil. of $
line 100
Time and savings deposits
9,803.399 Billions of Dollars 9,726.844 Billions of Dollars 10,343.063 Billions of Dollars Bil. of $
line 101
Postal savings system deposits
0 Millions of Dollars 0 Millions of Dollars 0 Millions of Dollars Mil. of $
line 102
Debt securities
5,474,865 Millions of Dollars 5,381,260 Millions of Dollars 3,923,292 Millions of Dollars Mil. of $
line 103
Treasury securities
2,404,363 Millions of Dollars 2,259,946 Millions of Dollars 1,237,733 Millions of Dollars Mil. of $
line 104
Agency- and GSE-backed securities
1,174,623 Millions of Dollars 1,159,250 Millions of Dollars 889,344 Millions of Dollars Mil. of $
line 105
Municipal securities
1,627,918 Millions of Dollars 1,695,298 Millions of Dollars 1,543,182 Millions of Dollars Mil. of $
line 106
Corporate and foreign bonds
267,961 Millions of Dollars 266,766 Millions of Dollars 253,033 Millions of Dollars Mil. of $
line 107
Loans
1,117,591 Millions of Dollars 1,184,197 Millions of Dollars 1,280,385 Millions of Dollars Mil. of $
line 108
Short term
1,042,146 Millions of Dollars 1,108,214 Millions of Dollars 1,200,437 Millions of Dollars Mil. of $
line 109
Long term (mortgages)
75.445 Billions of Dollars 75.983 Billions of Dollars 79.948 Billions of Dollars Bil. of $
line 110
Equity and investment fund shares
59,048,374 Millions of Dollars 60,331,219 Millions of Dollars 54,142,416 Millions of Dollars Mil. of $
line 111
Corporate equities
28,852.332 Billions of Dollars 29,891.361 Billions of Dollars 25,158.470 Billions of Dollars Bil. of $
line 112
Mutual fund shares
10,235.933 Billions of Dollars 10,670.347 Billions of Dollars 9,353.972 Billions of Dollars Bil. of $
line 113
Money market fund shares
3,690.093 Billions of Dollars 3,539.071 Billions of Dollars 2,918.653 Billions of Dollars Bil. of $
line 114
Equity in noncorporate business
16,270,015 Millions of Dollars 16,230,441 Millions of Dollars 16,711,321 Millions of Dollars Mil. of $
line 115
Equity investment under Public-Private Inv. Program
0 Millions of Dollars 0 Millions of Dollars 0 Millions of Dollars Mil. of $
line 116
Insurance, pension and standardized guarantee schemes
32,400,068 Millions of Dollars 32,647,500 Millions of Dollars 31,160,722 Millions of Dollars Mil. of $
line 117
Insurance receivables due from property-casualty insurance companies
784,524 Millions of Dollars 766,423 Millions of Dollars 720,665 Millions of Dollars Mil. of $
line 118
Life insurance reserves
1,987.065 Billions of Dollars 1,996.483 Billions of Dollars 1,907.745 Billions of Dollars Bil. of $
line 119
Pension entitlements
28,827,988 Millions of Dollars 29,085,471 Millions of Dollars 27,771,962 Millions of Dollars Mil. of $
line 120
Non-life insurance reserves at life insurance companies
414,221 Millions of Dollars 412,765 Millions of Dollars 402,782 Millions of Dollars Mil. of $
line 121
Retiree Health Care Funds
386,270 Millions of Dollars 386,358 Millions of Dollars 357,568 Millions of Dollars Mil. of $
line 122
Other accounts receivable (trade receivables)
298,450 Millions of Dollars 296,702 Millions of Dollars 291,471 Millions of Dollars Mil. of $
line 123
Total liabilities and net worth
171,265,885 Millions of Dollars 172,427,752 Millions of Dollars 162,526,658 Millions of Dollars Mil. of $
line 124
Liabilities
20,277.159 Billions of Dollars 20,127.314 Billions of Dollars 19,702.864 Billions of Dollars Bil. of $
line 125
Debt securities (municipals)
204.003 Billions of Dollars 203.970 Billions of Dollars 201.383 Billions of Dollars Bil. of $
line 126
Loans
19,507,032 Millions of Dollars 19,365,821 Millions of Dollars 18,966,658 Millions of Dollars Mil. of $
line 127
Short term
6,151,432 Millions of Dollars 6,101,480 Millions of Dollars 6,024,866 Millions of Dollars Mil. of $
line 128
Consumer credit
4,967.288 Billions of Dollars 4,940.750 Billions of Dollars 4,789.348 Billions of Dollars Bil. of $
line 129
Depository institution loans n.e.c.
465.131 Billions of Dollars 465.434 Billions of Dollars 469.120 Billions of Dollars Bil. of $
line 130
Other loans and advances
719.013 Billions of Dollars 695.296 Billions of Dollars 766.398 Billions of Dollars Bil. of $
line 131
Long term (mortgages)
13,355,600 Millions of Dollars 13,264,341 Millions of Dollars 12,941,792 Millions of Dollars Mil. of $
line 132
Insurance, pension and standardized guarantee schemes
38.348 Billions of Dollars 37.658 Billions of Dollars 39.056 Billions of Dollars Bil. of $
line 133
Other accounts payable (trade debt)
527,776 Millions of Dollars 519,865 Millions of Dollars 495,767 Millions of Dollars Mil. of $
line 134
Net worth
150,988.726 Billions of Dollars 152,300.438 Billions of Dollars 142,823.794 Billions of Dollars Bil. of $
   

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