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

   
    Q4 1945    
 
 
    Q3 2019
Line Name Q3 2019 Q2 2019 Q3 2018 Units
Current account
1
Gross value added
2,698,940 2,669,709 2,582,189 Mil. of $
2
Less: Consumption of fixed capital
605,939 597,530 579,334 Mil. of $
3
Equals: Net value added
2,093,001 2,072,179 2,002,855 Mil. of $
4
Compensation paid by households and NPISHs
1,008,013 995,185 964,055 Mil. of $
5
Taxes on production and imports less subsidies
206,055 204,843 195,567 Mil. of $
6
Operating surplus, net
878,933 872,151 843,233 Mil. of $
7
Net national income/Balance of primary incomes, net
16,598,467 16,455,953 15,970,728 Mil. of $
8
Operating surplus, net
878,933 872,151 843,233 Mil. of $
9
Compensation of employees (received)
11,487,981 11,386,949 10,994,261 Mil. of $
10
Wages and salaries
9,352,946 9,273,607 8,942,224 Mil. of $
11
Employers’ social contributions
2,135,035 2,113,342 2,052,037 Mil. of $
12
Property income received, net
4,231,553 4,196,853 4,133,234 Mil. of $
13
Net national income/Balance of primary incomes, net
16,598,467 16,455,953 15,970,728 Mil. of $
14
Less: Current taxes on income, wealth, etc. (paid)
2,190,640 2,200,135 2,086,484 Mil. of $
15
Plus: Social benefits (received)
3,142,771 3,104,152 2,929,419 Mil. of $
16
Less: Social contributions (paid)
1,426,953 1,416,305 1,362,360 Mil. of $
17
Plus: Other current transfers (received)
54,601 54,427 54,366 Mil. of $
18
Less: Other current transfers (paid)
205,371 204,271 204,727 Mil. of $
19
Equals: Disposable income, net
15,972,875 15,793,821 15,300,942 Mil. of $
20
Less: Final consumption expenditures
14,669,641 14,511,176 14,114,559 Mil. of $
21
Equals: Net saving
1,303,234 1,282,645 1,186,383 Mil. of $
Capital account
22
Net saving less capital transfers
1,285,524 1,263,575 1,177,814 Mil. of $
23
Net saving
1,303,234 1,282,645 1,186,383 Mil. of $
24
Less: Capital transfers paid (net)
17,710 19,070 8,569 Mil. of $
25
Capital formation, net
273,264 265,436 270,175 Mil. of $
26
Gross fixed capital formation, excluding consumer durables
892,289 876,228 862,073 Mil. of $
27
Residential
675,954 659,156 656,300 Mil. of $
28
Nonresidential (nonprofit organizations)
216,335 217,072 205,773 Mil. of $
29
Less: Consumption of fixed capital
605,939 597,530 579,334 Mil. of $
30
Acquisition of nonproduced nonfinancial assets
-13,086 -13,262 -12,564 Mil. of $
31
Net lending (+) or borrowing (-), capital account (lines 22-25)
1,012,260 998,139 907,639 Mil. of $
Financial account
32
Net lending (+) or borrowing (-) (line 31)
1,012,260 998,139 907,639 Mil. of $
33
Net acquisition of financial assets
1,624,116 1,718,194 2,334,901 Mil. of $
34
Currency and deposits
396,767 217,164 -21,316 Mil. of $
35
Currency and transferable deposits
-89,342 -284,131 -62,790 Mil. of $
36
Foreign deposits
1,898 652 -10,272 Mil. of $
37
Time and savings deposits
484,211 500,643 51,746 Mil. of $
38
Postal savings system deposits
0 0 0 Mil. of $
39
Debt securities
-138,492 550,062 770,391 Mil. of $
40
Treasury securities
-123,846 698,138 662,948 Mil. of $
41
Agency- and GSE-backed securities
181,406 -34,420 365,800 Mil. of $
42
Municipal securities
-88,487 -135,320 -14,457 Mil. of $
43
Corporate and foreign bonds
-107,564 21,664 -243,901 Mil. of $
44
Loans
144,448 3,708 3,484 Mil. of $
45
Short term
155,980 15,900 13,744 Mil. of $
46
Long term (mortgages)
-11,532 -12,192 -10,260 Mil. of $
47
Equity and investment fund shares
693,506 466,125 1,117,967 Mil. of $
48
Corporate equities
-287,213 218,387 492,991 Mil. of $
49
Mutual fund shares
356,458 -279,805 434,190 Mil. of $
50
Money market fund shares
510,186 427,467 80,793 Mil. of $
51
Equity in noncorporate business
114,075 100,076 109,992 Mil. of $
52
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
53
Insurance, pension and standardized guarantee schemes
519,455 472,703 456,692 Mil. of $
54
Insurance receivables due from property-casualty insurance companies
-1,164 20,072 35,772 Mil. of $
55
Life insurance reserves
69,912 31,024 38,560 Mil. of $
56
Pension entitlements
421,375 400,515 348,492 Mil. of $
57
Non-life insurance reserves at life insurance companies
9,644 10,792 23,012 Mil. of $
58
Retiree Health Care Funds
19,687 10,300 10,856 Mil. of $
59
Other accounts receivable (trade receivables)
8,432 8,432 7,684 Mil. of $
60
Net incurrence of liabilities
537,007 677,719 540,220 Mil. of $
61
Debt securities (municipals)
-1,784 -3,228 -12,096 Mil. of $
62
Loans
522,399 670,843 535,648 Mil. of $
63
Short term
230,840 302,991 210,659 Mil. of $
64
Consumer credit
207,139 168,459 212,839 Mil. of $
65
Depository institution loans n.e.c.
18,820 54,360 -15,944 Mil. of $
66
Other loans and advances
4,881 80,172 13,764 Mil. of $
67
Long term (mortgages)
291,560 367,852 324,989 Mil. of $
68
Insurance, pension and standardized guarantee schemes
3,496 -2,792 3,408 Mil. of $
69
Other accounts payable (trade debt)
12,896 12,896 13,260 Mil. of $
Addendum:
70
Net lending (+) or borrowing (-), financial account (lines 33-60)
1,087,109 1,040,475 1,794,681 Mil. of $
Other changes in volume account
71
Total other volume changes
19,744 -112,730 252,657 Mil. of $
72
Net investment in consumer durable goods
79,499 76,352 67,431 Mil. of $
73
Disaster losses
0 0 -31,998 Mil. of $
74
Other volume changes
-34,894 -25,353 81,489 Mil. of $
75
Less: Statistical discrepancy ((lines 31-70)/4)
24,862 163,729 -135,734 Mil. of $
Revaluation account
76
Nonfinancial assets
111,458 185,438 324,064 Mil. of $
77
Real estate
123,890 203,288 333,040 Mil. of $
78
Consumer durable goods
-11,392 -18,787 -10,973 Mil. of $
79
Equipment
-2,084 -260 1,675 Mil. of $
80
Intellectual property products
1,044 1,197 322 Mil. of $
81
Financial assets
127,751 1,494,470 1,244,002 Mil. of $
82
Debt securities
78,834 118,718 -40,221 Mil. of $
83
Corporate equities
-196,786 581,820 790,334 Mil. of $
84
Mutual fund shares
6,639 248,579 239,752 Mil. of $
85
Equity in noncorporate business
200,425 282,882 -16,623 Mil. of $
86
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
87
Insurance, pension and standardized guarantee schemes
38,639 262,471 270,760 Mil. of $
88
Changes in net worth due to nominal holding gains/losses
239,209 1,679,908 1,568,065 Mil. of $
Changes in balance sheet account
89
Change in net worth ((lines 25+31)/4 + lines 71+88)
573,609 1,862,255 2,120,830 Mil. of $
Balance sheet account (end of period)
90
Total assets
130,218.215 129,468.944 126,010.896 Bil. of $
91
Nonfinancial assets
39,243,616 38,985,069 37,423,271 Mil. of $
92
Real estate
32,861.954 32,679.486 31,327.026 Bil. of $
93
Consumer durable goods
5,717,352 5,649,245 5,465,985 Mil. of $
94
Equipment
454,041 450,144 432,349 Mil. of $
95
Intellectual property products
210,269 206,194 197,911 Mil. of $
96
Financial assets
90,974.599 90,483.875 88,587.625 Bil. of $
97
Currency and deposits
11,294,828 11,279,037 10,861,933 Mil. of $
98
Currency and transferable deposits
1,235.863 1,378.251 1,264.336 Bil. of $
99
Foreign deposits
39,632 39,157 39,724 Mil. of $
100
Time and savings deposits
10,019.334 9,861.629 9,557.873 Bil. of $
101
Postal savings system deposits
0 0 0 Mil. of $
102
Debt securities
5,499,397 5,478,866 5,123,611 Mil. of $
103
Treasury securities
2,002,732 1,993,922 1,756,018 Mil. of $
104
Agency- and GSE-backed securities
634,618 599,303 542,016 Mil. of $
105
Municipal securities
1,887,038 1,894,850 1,827,337 Mil. of $
106
Corporate and foreign bonds
975,008 990,791 998,240 Mil. of $
107
Loans
904,725 868,613 886,231 Mil. of $
108
Short term
841,977 802,982 812,120 Mil. of $
109
Long term (mortgages)
62.748 65.631 74.111 Bil. of $
110
Equity and investment fund shares
42,693,360 42,472,097 41,911,158 Mil. of $
111
Corporate equities
18,042.280 18,298.157 18,583.678 Bil. of $
112
Mutual fund shares
9,068.112 8,992.456 9,063.728 Bil. of $
113
Money market fund shares
2,063.730 1,907.967 1,673.295 Bil. of $
114
Equity in noncorporate business
13,519,238 13,273,518 12,590,457 Mil. of $
115
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
116
Insurance, pension and standardized guarantee schemes
30,308,995 30,114,076 29,539,643 Mil. of $
117
Insurance receivables due from property-casualty insurance companies
596,219 596,510 591,750 Mil. of $
118
Life insurance reserves
1,729.123 1,709.750 1,675.929 Bil. of $
119
Pension entitlements
27,322,720 27,150,480 26,638,113 Mil. of $
120
Non-life insurance reserves at life insurance companies
362,146 359,735 346,523 Mil. of $
121
Retiree Health Care Funds
298,787 297,601 287,328 Mil. of $
122
Other accounts receivable (trade receivables)
273,294 271,186 265,049 Mil. of $
123
Total liabilities and net worth
130,218,215 129,468,944 126,010,896 Mil. of $
124
Liabilities
16,385.781 16,210.119 15,904.844 Bil. of $
125
Debt securities (municipals)
214.392 214.838 217.109 Bil. of $
126
Loans
15,747,779 15,575,769 15,277,507 Mil. of $
127
Short term
4,944,983 4,861,145 4,744,526 Mil. of $
128
Consumer credit
4,129.527 4,051.614 3,939.145 Bil. of $
129
Depository institution loans n.e.c.
339.311 334.606 311.094 Bil. of $
130
Other loans and advances
476.145 474.925 494.287 Bil. of $
131
Long term (mortgages)
10,802,795 10,714,624 10,532,981 Mil. of $
132
Insurance, pension and standardized guarantee schemes
36.623 35.749 36.228 Bil. of $
133
Other accounts payable (trade debt)
386,987 383,763 374,000 Mil. of $
134
Net worth
113,832.434 113,258.825 110,106.051 Bil. of $
   

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