Skip to main content

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

   
    Q4 1945    
 
 
    Q2 2020
Line Name Q2 2020 Q1 2020 Q2 2019 Units
Current account
1
Gross value added
2,698,667 2,751,009 2,673,982 Mil. of $
2
Less: Consumption of fixed capital
619,252 614,060 594,871 Mil. of $
3
Equals: Net value added
2,079,415 2,136,949 2,079,111 Mil. of $
4
Compensation paid by households and NPISHs
972,684 1,035,017 1,001,761 Mil. of $
5
Taxes on production and imports less subsidies
200,457 201,084 195,334 Mil. of $
6
Operating surplus, net
906,274 900,848 882,016 Mil. of $
7
Net national income/Balance of primary incomes, net
15,803,057 16,821,255 16,416,917 Mil. of $
8
Operating surplus, net
906,274 900,848 882,016 Mil. of $
9
Compensation of employees (received)
10,883,886 11,674,398 11,391,653 Mil. of $
10
Wages and salaries
8,847,379 9,526,063 9,274,878 Mil. of $
11
Employers’ social contributions
2,036,507 2,148,335 2,116,775 Mil. of $
12
Property income received, net
4,012,897 4,246,009 4,143,248 Mil. of $
13
Net national income/Balance of primary incomes, net
15,803,057 16,821,255 16,416,917 Mil. of $
14
Less: Current taxes on income, wealth, etc. (paid)
2,095,344 2,252,395 2,222,487 Mil. of $
15
Plus: Social benefits (received)
5,637,159 3,189,633 3,071,046 Mil. of $
16
Less: Social contributions (paid)
1,380,316 1,451,548 1,414,722 Mil. of $
17
Plus: Other current transfers (received)
50,610 45,862 47,521 Mil. of $
18
Less: Other current transfers (paid)
212,684 212,036 214,857 Mil. of $
19
Equals: Disposable income, net
17,802,482 16,140,771 15,683,418 Mil. of $
20
Less: Final consumption expenditures
13,046,732 14,545,460 14,497,320 Mil. of $
21
Equals: Net saving
4,755,750 1,595,311 1,186,098 Mil. of $
Capital account
22
Net saving less capital transfers
4,793,524 1,579,563 1,170,926 Mil. of $
23
Net saving
4,755,750 1,595,311 1,186,098 Mil. of $
24
Less: Capital transfers paid (net)
-37,774 15,748 15,172 Mil. of $
25
Capital formation, net
188,339 297,408 258,918 Mil. of $
26
Gross fixed capital formation, excluding consumer durables
827,183 926,328 867,280 Mil. of $
27
Residential
629,937 717,329 658,716 Mil. of $
28
Nonresidential (nonprofit organizations)
197,246 208,999 208,564 Mil. of $
29
Less: Consumption of fixed capital
619,252 614,060 594,871 Mil. of $
30
Acquisition of nonproduced nonfinancial assets
-19,592 -14,860 -13,491 Mil. of $
31
Net lending (+) or borrowing (-), capital account (lines 22-25)
4,605,185 1,282,155 912,008 Mil. of $
Financial account
32
Net lending (+) or borrowing (-) (line 31)
4,605,185 1,282,155 912,008 Mil. of $
33
Net acquisition of financial assets
5,712,847 2,455,710 2,078,963 Mil. of $
34
Currency and deposits
5,133,139 1,684,789 224,858 Mil. of $
35
Currency and transferable deposits
2,180,323 317,727 -293,889 Mil. of $
36
Foreign deposits
-792 37,752 -5,764 Mil. of $
37
Time and savings deposits
2,953,609 1,329,309 524,511 Mil. of $
38
Postal savings system deposits
0 0 0 Mil. of $
39
Debt securities
-669,553 -82,279 1,522,166 Mil. of $
40
Treasury securities
72,114 -683,550 812,100 Mil. of $
41
Agency- and GSE-backed securities
-1,384,949 163,931 205,147 Mil. of $
42
Municipal securities
-62,687 32,294 -91,687 Mil. of $
43
Corporate and foreign bonds
705,969 405,047 596,607 Mil. of $
44
Loans
-105,916 568,892 8,476 Mil. of $
45
Short term
-92,508 580,756 19,264 Mil. of $
46
Long term (mortgages)
-13,408 -11,864 -10,788 Mil. of $
47
Equity and investment fund shares
1,088,152 -397,962 -168,291 Mil. of $
48
Corporate equities
-91,232 -428,325 -869,360 Mil. of $
49
Mutual fund shares
332,059 -1,042,010 281,867 Mil. of $
50
Money market fund shares
831,970 1,027,762 402,575 Mil. of $
51
Equity in noncorporate business
15,355 44,611 16,627 Mil. of $
52
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
53
Insurance, pension and standardized guarantee schemes
240,021 674,366 484,138 Mil. of $
54
Insurance receivables due from property-casualty insurance companies
45,608 16,052 20,792 Mil. of $
55
Life insurance reserves
-49,216 99,191 14,748 Mil. of $
56
Pension entitlements
228,488 543,241 428,585 Mil. of $
57
Non-life insurance reserves at life insurance companies
17,836 3,604 10,376 Mil. of $
58
Retiree Health Care Funds
-2,695 12,278 9,636 Mil. of $
59
Other accounts receivable (trade receivables)
27,004 7,904 7,616 Mil. of $
60
Net incurrence of liabilities
79,131 622,398 630,820 Mil. of $
61
Debt securities (municipals)
-9,480 -11,536 -2,552 Mil. of $
62
Loans
84,287 615,566 628,092 Mil. of $
63
Short term
-241,779 253,577 309,564 Mil. of $
64
Consumer credit
-275,859 41,249 177,200 Mil. of $
65
Depository institution loans n.e.c.
-19,164 155,568 57,384 Mil. of $
66
Other loans and advances
53,244 56,760 74,980 Mil. of $
67
Long term (mortgages)
326,066 361,989 318,528 Mil. of $
68
Insurance, pension and standardized guarantee schemes
-3,828 10,216 -2,792 Mil. of $
69
Other accounts payable (trade debt)
8,152 8,152 8,072 Mil. of $
Addendum:
70
Net lending (+) or borrowing (-), financial account (lines 33-60)
5,633,716 1,833,311 1,448,143 Mil. of $
Other changes in volume account
71
Total other volume changes
-13,406 -97,126 4,180 Mil. of $
72
Net investment in consumer durable goods
54,271 60,480 69,787 Mil. of $
73
Disaster losses
0 0 0 Mil. of $
74
Other volume changes
-159,578 -238,899 -4,785 Mil. of $
75
Less: Statistical discrepancy ((lines 31-70)/4)
-91,901 -81,294 60,821 Mil. of $
Revaluation account
76
Nonfinancial assets
381,455 342,299 448,551 Mil. of $
77
Real estate
413,886 353,533 451,177 Mil. of $
78
Consumer durable goods
-32,974 -12,421 -2,806 Mil. of $
79
Equipment
-644 530 -829 Mil. of $
80
Intellectual property products
1,187 657 1,009 Mil. of $
81
Financial assets
6,046,581 -7,981,838 1,406,832 Mil. of $
82
Debt securities
116,589 115,292 117,427 Mil. of $
83
Corporate equities
3,525,328 -5,167,116 509,902 Mil. of $
84
Mutual fund shares
1,233,645 -1,597,423 254,428 Mil. of $
85
Equity in noncorporate business
-11,573 116,847 264,051 Mil. of $
86
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
87
Insurance, pension and standardized guarantee schemes
1,182,593 -1,449,439 261,024 Mil. of $
88
Changes in net worth due to nominal holding gains/losses
6,428,036 -7,639,539 1,855,382 Mil. of $
Changes in balance sheet account
89
Change in net worth ((lines 25+31)/4 + lines 71+88)
7,607,125 -7,228,530 2,144,085 Mil. of $
Balance sheet account (end of period)
90
Total assets
135,435.174 127,798.584 129,997.998 Bil. of $
91
Nonfinancial assets
40,886,823 40,403,493 39,207,992 Mil. of $
92
Real estate
34,406.361 33,948.721 32,913.605 Bil. of $
93
Consumer durable goods
5,819,481 5,798,184 5,654,959 Mil. of $
94
Equipment
462,838 461,575 449,497 Mil. of $
95
Intellectual property products
198,143 195,013 189,931 Mil. of $
96
Financial assets
94,548.351 87,395.091 90,790.006 Bil. of $
97
Currency and deposits
13,045,808 11,944,276 11,017,358 Mil. of $
98
Currency and transferable deposits
1,826.898 1,369.637 1,147.570 Bil. of $
99
Foreign deposits
50,232 50,430 39,838 Mil. of $
100
Time and savings deposits
11,168.677 10,524.209 9,829.950 Bil. of $
101
Postal savings system deposits
0 0 0 Mil. of $
102
Debt securities
5,382,403 5,621,830 5,750,237 Mil. of $
103
Treasury securities
1,814,091 1,792,252 2,056,418 Mil. of $
104
Agency- and GSE-backed securities
443,429 773,498 699,527 Mil. of $
105
Municipal securities
1,905,388 1,887,805 1,906,486 Mil. of $
106
Corporate and foreign bonds
1,219,495 1,168,275 1,087,806 Mil. of $
107
Loans
1,005,870 1,032,349 871,997 Mil. of $
108
Short term
954,150 977,277 808,712 Mil. of $
109
Long term (mortgages)
51.720 55.072 63.285 Bil. of $
110
Equity and investment fund shares
44,077,444 39,027,108 42,935,267 Mil. of $
111
Corporate equities
19,518.721 16,000.728 19,634.924 Bil. of $
112
Mutual fund shares
9,519.083 8,197.439 9,340.378 Bil. of $
113
Money market fund shares
2,615.345 2,418.156 1,912.099 Bil. of $
114
Equity in noncorporate business
12,424,294 12,410,785 12,047,866 Mil. of $
115
Equity investment under Public-Private Inv. Program
0 0 0 Mil. of $
116
Insurance, pension and standardized guarantee schemes
30,758,414 29,497,866 29,949,269 Mil. of $
117
Insurance receivables due from property-casualty insurance companies
619,356 607,954 596,869 Mil. of $
118
Life insurance reserves
1,736.063 1,709.167 1,702.538 Bil. of $
119
Pension entitlements
27,719,376 26,498,641 26,992,911 Mil. of $
120
Non-life insurance reserves at life insurance companies
372,923 368,464 359,350 Mil. of $
121
Retiree Health Care Funds
310,696 313,640 297,601 Mil. of $
122
Other accounts receivable (trade receivables)
278,413 271,662 265,878 Mil. of $
123
Total liabilities and net worth
135,435,174 127,798,584 129,997,998 Mil. of $
124
Liabilities
16,479.839 16,450.374 16,041.848 Bil. of $
125
Debt securities (municipals)
207.953 210.323 214.721 Bil. of $
126
Loans
15,856,619 15,825,865 15,422,315 Mil. of $
127
Short term
4,981,349 5,033,656 4,857,972 Mil. of $
128
Consumer credit
4,079.082 4,139.909 4,040.948 Bil. of $
129
Depository institution loans n.e.c.
378.865 383.656 336.989 Bil. of $
130
Other loans and advances
523.402 510.091 480.035 Bil. of $
131
Long term (mortgages)
10,875,270 10,792,209 10,564,343 Mil. of $
132
Insurance, pension and standardized guarantee schemes
38.092 39.049 35.749 Bil. of $
133
Other accounts payable (trade debt)
377,175 375,137 369,063 Mil. of $
134
Net worth
118,955.335 111,348.210 113,956.150 Bil. of $
   

Subscribe to the FRED newsletter


Follow us

Back to Top