Current account
line 1
Gross value added
Q3 2025
3,917,174
Millions of U.S. Dollars
3,879,044
Millions of U.S. Dollars
3,729,019
Millions of U.S. Dollars
Mil. of U.S. $
line 2
Less: Consumption of fixed capital
Q3 2025
922,206
Millions of U.S. Dollars
906,270
Millions of U.S. Dollars
885,440
Millions of U.S. Dollars
Mil. of U.S. $
line 3
Equals: Net value added
Q3 2025
2,994,968
Millions of U.S. Dollars
2,972,774
Millions of U.S. Dollars
2,843,579
Millions of U.S. Dollars
Mil. of U.S. $
line 4
Compensation paid by households and NPISHs
Q3 2025
1,369,746
Millions of U.S. Dollars
1,358,031
Millions of U.S. Dollars
1,307,630
Millions of U.S. Dollars
Mil. of U.S. $
line 5
Taxes on production and imports less subsidies
Q3 2025
286,808
Millions of U.S. Dollars
278,509
Millions of U.S. Dollars
266,724
Millions of U.S. Dollars
Mil. of U.S. $
line 6
Operating surplus, net
Q3 2025
1,338,414
Millions of U.S. Dollars
1,336,234
Millions of U.S. Dollars
1,269,225
Millions of U.S. Dollars
Mil. of U.S. $
line 7
Net national income/Balance of primary incomes, net
Q3 2025
22,625,939
Millions of U.S. Dollars
22,477,506
Millions of U.S. Dollars
21,809,589
Millions of U.S. Dollars
Mil. of U.S. $
line 8
Operating surplus, net
Q3 2025
1,338,414
Millions of U.S. Dollars
1,336,234
Millions of U.S. Dollars
1,269,225
Millions of U.S. Dollars
Mil. of U.S. $
line 9
Compensation of employees (received)
Q3 2025
15,754,924
Millions of U.S. Dollars
15,610,334
Millions of U.S. Dollars
15,115,734
Millions of U.S. Dollars
Mil. of U.S. $
line 10
Wages and salaries
Q3 2025
12,972,705
Millions of U.S. Dollars
12,860,022
Millions of U.S. Dollars
12,458,403
Millions of U.S. Dollars
Mil. of U.S. $
line 11
Employers’ social contributions
Q3 2025
2,782,219
Millions of U.S. Dollars
2,750,312
Millions of U.S. Dollars
2,657,331
Millions of U.S. Dollars
Mil. of U.S. $
line 12
Property income received, net
Q3 2025
5,532,601
Millions of U.S. Dollars
5,530,938
Millions of U.S. Dollars
5,424,630
Millions of U.S. Dollars
Mil. of U.S. $
line 13
Net national income/Balance of primary incomes, net
Q3 2025
22,625,939
Millions of U.S. Dollars
22,477,506
Millions of U.S. Dollars
21,809,589
Millions of U.S. Dollars
Mil. of U.S. $
line 14
Less: Current taxes on income, wealth, etc. (paid)
Q3 2025
3,254,447
Millions of U.S. Dollars
3,200,922
Millions of U.S. Dollars
3,019,086
Millions of U.S. Dollars
Mil. of U.S. $
line 15
Plus: Social benefits (received)
Q3 2025
4,901,345
Millions of U.S. Dollars
4,851,961
Millions of U.S. Dollars
4,492,813
Millions of U.S. Dollars
Mil. of U.S. $
line 16
Less: Social contributions (paid)
Q3 2025
2,020,928
Millions of U.S. Dollars
2,005,103
Millions of U.S. Dollars
1,935,371
Millions of U.S. Dollars
Mil. of U.S. $
line 17
Plus: Other current transfers (received)
Q3 2025
112,316
Millions of U.S. Dollars
100,303
Millions of U.S. Dollars
94,754
Millions of U.S. Dollars
Mil. of U.S. $
line 18
Less: Other current transfers (paid)
Q3 2025
295,773
Millions of U.S. Dollars
293,477
Millions of U.S. Dollars
282,637
Millions of U.S. Dollars
Mil. of U.S. $
line 19
Equals: Disposable income, net
Q3 2025
22,068,452
Millions of U.S. Dollars
21,930,268
Millions of U.S. Dollars
21,160,062
Millions of U.S. Dollars
Mil. of U.S. $
line 20
Less: Final consumption expenditures
Q3 2025
21,114,859
Millions of U.S. Dollars
20,789,926
Millions of U.S. Dollars
20,032,818
Millions of U.S. Dollars
Mil. of U.S. $
line 21
Equals: Net saving
Q3 2025
953,593
Millions of U.S. Dollars
1,140,342
Millions of U.S. Dollars
1,127,244
Millions of U.S. Dollars
Mil. of U.S. $
Capital account
line 22
Net saving less capital transfers
Q3 2025
933,583
Millions of U.S. Dollars
1,118,949
Millions of U.S. Dollars
1,179,439
Millions of U.S. Dollars
Mil. of U.S. $
line 23
Net saving
Q3 2025
953,593
Millions of U.S. Dollars
1,140,342
Millions of U.S. Dollars
1,127,244
Millions of U.S. Dollars
Mil. of U.S. $
line 24
Less: Capital transfers paid (net)
Q3 2025
20,010
Millions of U.S. Dollars
21,393
Millions of U.S. Dollars
-52,195
Millions of U.S. Dollars
Mil. of U.S. $
line 25
Capital formation, net
Q3 2025
373,545
Millions of U.S. Dollars
384,270
Millions of U.S. Dollars
368,267
Millions of U.S. Dollars
Mil. of U.S. $
line 26
Gross fixed capital formation, excluding consumer durables
Q3 2025
1,314,251
Millions of U.S. Dollars
1,308,662
Millions of U.S. Dollars
1,270,980
Millions of U.S. Dollars
Mil. of U.S. $
line 27
Residential
Q3 2025
986,269
Millions of U.S. Dollars
982,716
Millions of U.S. Dollars
966,604
Millions of U.S. Dollars
Mil. of U.S. $
line 28
Nonresidential (nonprofit organizations)
Q3 2025
327,982
Millions of U.S. Dollars
325,946
Millions of U.S. Dollars
304,376
Millions of U.S. Dollars
Mil. of U.S. $
line 29
Less: Consumption of fixed capital
Q3 2025
922,206
Millions of U.S. Dollars
906,270
Millions of U.S. Dollars
885,440
Millions of U.S. Dollars
Mil. of U.S. $
line 30
Acquisition of nonproduced nonfinancial assets
Q3 2025
-18,500
Millions of U.S. Dollars
-18,122
Millions of U.S. Dollars
-17,273
Millions of U.S. Dollars
Mil. of U.S. $
line 31
Net lending (+) or borrowing (-), capital account (lines 22-25)
Q3 2025
560,038
Millions of U.S. Dollars
734,679
Millions of U.S. Dollars
811,172
Millions of U.S. Dollars
Mil. of U.S. $
Financial account
line 32
Net lending (+) or borrowing (-) (line 31)
Q3 2025
560,038
Millions of U.S. Dollars
734,679
Millions of U.S. Dollars
811,172
Millions of U.S. Dollars
Mil. of U.S. $
line 33
Net acquisition of financial assets
Q3 2025
2,259,813
Millions of U.S. Dollars
1,677,025
Millions of U.S. Dollars
2,981,434
Millions of U.S. Dollars
Mil. of U.S. $
line 34
Currency and deposits
Q3 2025
138,191
Millions of U.S. Dollars
968,470
Millions of U.S. Dollars
-12,152
Millions of U.S. Dollars
Mil. of U.S. $
line 35
Currency and transferable deposits
Q3 2025
-151,356
Millions of U.S. Dollars
550,489
Millions of U.S. Dollars
-86,281
Millions of U.S. Dollars
Mil. of U.S. $
line 36
Foreign deposits
Q3 2025
344
Millions of U.S. Dollars
10,404
Millions of U.S. Dollars
12,660
Millions of U.S. Dollars
Mil. of U.S. $
line 37
Time and savings deposits
Q3 2025
289,202
Millions of U.S. Dollars
407,577
Millions of U.S. Dollars
61,469
Millions of U.S. Dollars
Mil. of U.S. $
line 38
Postal savings system deposits
Q3 2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 39
Debt securities
Q3 2025
-63,965
Millions of U.S. Dollars
131,447
Millions of U.S. Dollars
787,415
Millions of U.S. Dollars
Mil. of U.S. $
line 40
Treasury securities
Q3 2025
444,032
Millions of U.S. Dollars
254,563
Millions of U.S. Dollars
362,560
Millions of U.S. Dollars
Mil. of U.S. $
line 41
Agency- and GSE-backed securities
Q3 2025
23,730
Millions of U.S. Dollars
-153,509
Millions of U.S. Dollars
-49,761
Millions of U.S. Dollars
Mil. of U.S. $
line 42
Municipal securities
Q3 2025
76,160
Millions of U.S. Dollars
277,633
Millions of U.S. Dollars
90,005
Millions of U.S. Dollars
Mil. of U.S. $
line 43
Corporate and foreign bonds
Q3 2025
-607,887
Millions of U.S. Dollars
-247,240
Millions of U.S. Dollars
384,611
Millions of U.S. Dollars
Mil. of U.S. $
line 44
Loans
Q3 2025
55,903
Millions of U.S. Dollars
89,992
Millions of U.S. Dollars
294,008
Millions of U.S. Dollars
Mil. of U.S. $
line 45
Short term
Q3 2025
62,319
Millions of U.S. Dollars
95,752
Millions of U.S. Dollars
298,604
Millions of U.S. Dollars
Mil. of U.S. $
line 46
Long term (mortgages)
Q3 2025
-6,416
Millions of U.S. Dollars
-5,760
Millions of U.S. Dollars
-4,596
Millions of U.S. Dollars
Mil. of U.S. $
line 47
Equity and investment fund shares
Q3 2025
1,626,757
Millions of U.S. Dollars
-47,974
Millions of U.S. Dollars
1,371,084
Millions of U.S. Dollars
Mil. of U.S. $
line 48
Corporate equities
Q3 2025
1,356,575
Millions of U.S. Dollars
-199,560
Millions of U.S. Dollars
724,614
Millions of U.S. Dollars
Mil. of U.S. $
line 49
Mutual fund shares
Q3 2025
-272,536
Millions of U.S. Dollars
9,476
Millions of U.S. Dollars
-7,772
Millions of U.S. Dollars
Mil. of U.S. $
line 50
Money market fund shares
Q3 2025
628,143
Millions of U.S. Dollars
267,626
Millions of U.S. Dollars
712,232
Millions of U.S. Dollars
Mil. of U.S. $
line 51
Equity in noncorporate business
Q3 2025
-85,424
Millions of U.S. Dollars
-125,516
Millions of U.S. Dollars
-57,990
Millions of U.S. Dollars
Mil. of U.S. $
line 52
Equity investment under Public-Private Inv. Program
Q3 2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 53
Insurance, pension and standardized guarantee schemes
Q3 2025
466,816
Millions of U.S. Dollars
498,978
Millions of U.S. Dollars
504,579
Millions of U.S. Dollars
Mil. of U.S. $
line 54
Insurance receivables due from property-casualty insurance companies
Q3 2025
41,216
Millions of U.S. Dollars
41,608
Millions of U.S. Dollars
89,988
Millions of U.S. Dollars
Mil. of U.S. $
line 55
Life insurance reserves
Q3 2025
61,948
Millions of U.S. Dollars
73,484
Millions of U.S. Dollars
27,104
Millions of U.S. Dollars
Mil. of U.S. $
line 56
Pension entitlements
Q3 2025
341,929
Millions of U.S. Dollars
352,098
Millions of U.S. Dollars
365,497
Millions of U.S. Dollars
Mil. of U.S. $
line 57
Non-life insurance reserves at life insurance companies
Q3 2025
-2,472
Millions of U.S. Dollars
15,384
Millions of U.S. Dollars
10,988
Millions of U.S. Dollars
Mil. of U.S. $
line 58
Retiree Health Care Funds
Q3 2025
24,195
Millions of U.S. Dollars
16,404
Millions of U.S. Dollars
11,002
Millions of U.S. Dollars
Mil. of U.S. $
line 59
Other accounts receivable (trade receivables)
Q3 2025
36,112
Millions of U.S. Dollars
36,112
Millions of U.S. Dollars
36,500
Millions of U.S. Dollars
Mil. of U.S. $
line 60
Net incurrence of liabilities
Q3 2025
840,466
Millions of U.S. Dollars
812,165
Millions of U.S. Dollars
613,254
Millions of U.S. Dollars
Mil. of U.S. $
line 61
Debt securities (municipals)
Q3 2025
12,052
Millions of U.S. Dollars
24,012
Millions of U.S. Dollars
7,128
Millions of U.S. Dollars
Mil. of U.S. $
line 62
Loans
Q3 2025
822,422
Millions of U.S. Dollars
772,657
Millions of U.S. Dollars
594,574
Millions of U.S. Dollars
Mil. of U.S. $
line 63
Short term
Q3 2025
352,453
Millions of U.S. Dollars
304,775
Millions of U.S. Dollars
145,136
Millions of U.S. Dollars
Mil. of U.S. $
line 64
Consumer credit
Q3 2025
114,705
Millions of U.S. Dollars
142,691
Millions of U.S. Dollars
119,048
Millions of U.S. Dollars
Mil. of U.S. $
line 65
Depository institution loans n.e.c.
Q3 2025
-37,620
Millions of U.S. Dollars
176
Millions of U.S. Dollars
2,160
Millions of U.S. Dollars
Mil. of U.S. $
line 66
Other loans and advances
Q3 2025
275,368
Millions of U.S. Dollars
161,908
Millions of U.S. Dollars
23,928
Millions of U.S. Dollars
Mil. of U.S. $
line 67
Long term (mortgages)
Q3 2025
469,969
Millions of U.S. Dollars
467,882
Millions of U.S. Dollars
449,438
Millions of U.S. Dollars
Mil. of U.S. $
line 68
Insurance, pension and standardized guarantee schemes
Q3 2025
-11,212
Millions of U.S. Dollars
-1,708
Millions of U.S. Dollars
-6,356
Millions of U.S. Dollars
Mil. of U.S. $
line 69
Other accounts payable (trade debt)
Q3 2025
17,204
Millions of U.S. Dollars
17,204
Millions of U.S. Dollars
17,908
Millions of U.S. Dollars
Mil. of U.S. $
Addendum:
line 70
Net lending (+) or borrowing (-), financial account (lines 33-60)
Q3 2025
1,419,347
Millions of U.S. Dollars
864,860
Millions of U.S. Dollars
2,368,180
Millions of U.S. Dollars
Mil. of U.S. $
Other changes in volume account
line 71
Total other volume changes
Q3 2025
539,133
Millions of U.S. Dollars
85,262
Millions of U.S. Dollars
314,439
Millions of U.S. Dollars
Mil. of U.S. $
line 72
Net investment in consumer durable goods
Q3 2025
98,843
Millions of U.S. Dollars
105,107
Millions of U.S. Dollars
85,858
Millions of U.S. Dollars
Mil. of U.S. $
line 73
Disaster losses
Q3 2025
4,625
Millions of U.S. Dollars
4,530
Millions of U.S. Dollars
4,318
Millions of U.S. Dollars
Mil. of U.S. $
line 74
Other volume changes
Q3 2025
224,139
Millions of U.S. Dollars
185,336
Millions of U.S. Dollars
-144,351
Millions of U.S. Dollars
Mil. of U.S. $
line 75
Less: Statistical discrepancy ((lines 31-70)/4)
Q3 2025
-211,527
Millions of U.S. Dollars
209,711
Millions of U.S. Dollars
-368,614
Millions of U.S. Dollars
Mil. of U.S. $
Revaluation account
line 76
Nonfinancial assets
.
.
Millions of Dollars
.
Millions of Dollars
.
Millions of Dollars
Mil. of $
line 77
Real estate
Q3 2025
-367,796
Millions of U.S. Dollars
997,669
Millions of U.S. Dollars
-412,778
Millions of U.S. Dollars
Mil. of U.S. $
line 78
Consumer durable goods
Q3 2025
18,204
Millions of U.S. Dollars
70,707
Millions of U.S. Dollars
-40,546
Millions of U.S. Dollars
Mil. of U.S. $
line 79
Equipment
Q3 2025
9,368
Millions of U.S. Dollars
4,881
Millions of U.S. Dollars
3,639
Millions of U.S. Dollars
Mil. of U.S. $
line 80
Intellectual property products
Q3 2025
3,225
Millions of U.S. Dollars
-1,206
Millions of U.S. Dollars
2,246
Millions of U.S. Dollars
Mil. of U.S. $
line 81
Financial assets
.
.
Millions of Dollars
.
Millions of Dollars
.
Millions of Dollars
Mil. of $
line 82
Debt securities
Q3 2025
66,651
Millions of U.S. Dollars
-12,301
Millions of U.S. Dollars
162,202
Millions of U.S. Dollars
Mil. of U.S. $
line 83
Corporate equities
Q3 2025
4,025,704
Millions of U.S. Dollars
3,812,519
Millions of U.S. Dollars
2,416,174
Millions of U.S. Dollars
Mil. of U.S. $
line 84
Mutual fund shares
Q3 2025
660,245
Millions of U.S. Dollars
923,540
Millions of U.S. Dollars
626,465
Millions of U.S. Dollars
Mil. of U.S. $
line 85
Equity in noncorporate business
Q3 2025
85,904
Millions of U.S. Dollars
-15,896
Millions of U.S. Dollars
18,791
Millions of U.S. Dollars
Mil. of U.S. $
line 86
Equity investment under Public-Private Inv. Program
Q3 2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 87
Insurance, pension and standardized guarantee schemes
Q3 2025
779,782
Millions of U.S. Dollars
1,015,404
Millions of U.S. Dollars
657,847
Millions of U.S. Dollars
Mil. of U.S. $
line 88
Changes in net worth due to nominal holding gains/losses
.
.
Millions of Dollars
.
Millions of Dollars
.
Millions of Dollars
Mil. of $
Changes in balance sheet account
line 89
Change in net worth ((lines 25+31)/4 + lines 71+88)
Q3 2025
6,063,987
Millions of U.S. Dollars
7,153,120
Millions of U.S. Dollars
4,057,940
Millions of U.S. Dollars
Mil. of U.S. $
Balance sheet account (end of period)
line 90
Total assets
Q3 2025
202,830,301
Millions of U.S. Dollars
196,539,545
Millions of U.S. Dollars
189,578,044
Millions of U.S. Dollars
Mil. of U.S. $
line 91
Nonfinancial assets
Q3 2025
61,596,678
Millions of U.S. Dollars
61,743,152
Millions of U.S. Dollars
60,321,812
Millions of U.S. Dollars
Mil. of U.S. $
line 92
Real estate
Q3 2025
52,056,885
Millions of U.S. Dollars
52,344,309
Millions of U.S. Dollars
51,361,144
Millions of U.S. Dollars
Mil. of U.S. $
line 93
Consumer durable goods
Q3 2025
8,533,983
Millions of U.S. Dollars
8,416,937
Millions of U.S. Dollars
8,013,381
Millions of U.S. Dollars
Mil. of U.S. $
line 94
Equipment
Q3 2025
716,207
Millions of U.S. Dollars
699,830
Millions of U.S. Dollars
676,808
Millions of U.S. Dollars
Mil. of U.S. $
line 95
Intellectual property products
Q3 2025
289,603
Millions of U.S. Dollars
282,076
Millions of U.S. Dollars
270,479
Millions of U.S. Dollars
Mil. of U.S. $
line 96
Financial assets
Q3 2025
141,233,623
Millions of U.S. Dollars
134,796,393
Millions of U.S. Dollars
129,256,232
Millions of U.S. Dollars
Mil. of U.S. $
line 97
Currency and deposits
Q3 2025
14,816,844
Millions of U.S. Dollars
14,794,390
Millions of U.S. Dollars
14,270,827
Millions of U.S. Dollars
Mil. of U.S. $
line 98
Currency and transferable deposits
Q3 2025
4,826,466
Millions of U.S. Dollars
4,909,495
Millions of U.S. Dollars
4,473,930
Millions of U.S. Dollars
Mil. of U.S. $
line 99
Foreign deposits
Q3 2025
61,188
Millions of U.S. Dollars
61,102
Millions of U.S. Dollars
57,496
Millions of U.S. Dollars
Mil. of U.S. $
line 100
Time and savings deposits
Q3 2025
9,929,190
Millions of U.S. Dollars
9,823,793
Millions of U.S. Dollars
9,739,401
Millions of U.S. Dollars
Mil. of U.S. $
line 101
Postal savings system deposits
Q3 2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 102
Debt securities
Q3 2025
6,133,325
Millions of U.S. Dollars
5,942,389
Millions of U.S. Dollars
5,897,879
Millions of U.S. Dollars
Mil. of U.S. $
line 103
Treasury securities
Q3 2025
2,960,851
Millions of U.S. Dollars
2,821,377
Millions of U.S. Dollars
2,745,250
Millions of U.S. Dollars
Mil. of U.S. $
line 104
Agency- and GSE-backed securities
Q3 2025
939,348
Millions of U.S. Dollars
953,755
Millions of U.S. Dollars
978,369
Millions of U.S. Dollars
Mil. of U.S. $
line 105
Municipal securities
Q3 2025
2,038,292
Millions of U.S. Dollars
1,972,505
Millions of U.S. Dollars
1,976,426
Millions of U.S. Dollars
Mil. of U.S. $
line 106
Corporate and foreign bonds
Q3 2025
194,834
Millions of U.S. Dollars
194,752
Millions of U.S. Dollars
197,834
Millions of U.S. Dollars
Mil. of U.S. $
line 107
Loans
Q3 2025
1,256,495
Millions of U.S. Dollars
1,244,723
Millions of U.S. Dollars
1,427,971
Millions of U.S. Dollars
Mil. of U.S. $
line 108
Short term
Q3 2025
1,190,399
Millions of U.S. Dollars
1,177,023
Millions of U.S. Dollars
1,356,479
Millions of U.S. Dollars
Mil. of U.S. $
line 109
Long term (mortgages)
Q3 2025
66,096
Millions of U.S. Dollars
67,700
Millions of U.S. Dollars
71,492
Millions of U.S. Dollars
Mil. of U.S. $
line 110
Equity and investment fund shares
Q3 2025
80,260,517
Millions of U.S. Dollars
74,950,352
Millions of U.S. Dollars
70,849,838
Millions of U.S. Dollars
Mil. of U.S. $
line 111
Corporate equities
Q3 2025
46,000,725
Millions of U.S. Dollars
41,548,956
Millions of U.S. Dollars
38,334,815
Millions of U.S. Dollars
Mil. of U.S. $
line 112
Mutual fund shares
Q3 2025
13,589,148
Millions of U.S. Dollars
13,003,540
Millions of U.S. Dollars
12,547,595
Millions of U.S. Dollars
Mil. of U.S. $
line 113
Money market fund shares
Q3 2025
5,034,609
Millions of U.S. Dollars
4,848,716
Millions of U.S. Dollars
4,399,440
Millions of U.S. Dollars
Mil. of U.S. $
line 114
Equity in noncorporate business
Q3 2025
15,636,035
Millions of U.S. Dollars
15,549,140
Millions of U.S. Dollars
15,567,988
Millions of U.S. Dollars
Mil. of U.S. $
line 115
Equity investment under Public-Private Inv. Program
Q3 2025
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
0
Millions of U.S. Dollars
Mil. of U.S. $
line 116
Insurance, pension and standardized guarantee schemes
Q3 2025
38,288,329
Millions of U.S. Dollars
37,395,453
Millions of U.S. Dollars
36,367,812
Millions of U.S. Dollars
Mil. of U.S. $
line 117
Insurance receivables due from property-casualty insurance companies
Q3 2025
873,370
Millions of U.S. Dollars
863,066
Millions of U.S. Dollars
832,721
Millions of U.S. Dollars
Mil. of U.S. $
line 118
Life insurance reserves
Q3 2025
2,254,202
Millions of U.S. Dollars
2,214,411
Millions of U.S. Dollars
2,150,760
Millions of U.S. Dollars
Mil. of U.S. $
line 119
Pension entitlements
Q3 2025
34,278,739
Millions of U.S. Dollars
33,437,946
Millions of U.S. Dollars
32,535,342
Millions of U.S. Dollars
Mil. of U.S. $
line 120
Non-life insurance reserves at life insurance companies
Q3 2025
440,977
Millions of U.S. Dollars
441,096
Millions of U.S. Dollars
434,013
Millions of U.S. Dollars
Mil. of U.S. $
line 121
Retiree Health Care Funds
Q3 2025
441,041
Millions of U.S. Dollars
438,934
Millions of U.S. Dollars
414,976
Millions of U.S. Dollars
Mil. of U.S. $
line 122
Other accounts receivable (trade receivables)
Q3 2025
478,114
Millions of U.S. Dollars
469,086
Millions of U.S. Dollars
441,905
Millions of U.S. Dollars
Mil. of U.S. $
line 123
Total liabilities and net worth
Q3 2025
202,830,301
Millions of U.S. Dollars
196,539,545
Millions of U.S. Dollars
189,578,044
Millions of U.S. Dollars
Mil. of U.S. $
line 124
Liabilities
Q3 2025
21,198,704
Millions of U.S. Dollars
20,971,934
Millions of U.S. Dollars
20,858,858
Millions of U.S. Dollars
Mil. of U.S. $
line 125
Debt securities (municipals)
Q3 2025
227,245
Millions of U.S. Dollars
224,232
Millions of U.S. Dollars
215,598
Millions of U.S. Dollars
Mil. of U.S. $
line 126
Loans
Q3 2025
20,404,566
Millions of U.S. Dollars
20,182,307
Millions of U.S. Dollars
20,093,534
Millions of U.S. Dollars
Mil. of U.S. $
line 127
Short term
Q3 2025
6,236,986
Millions of U.S. Dollars
6,131,728
Millions of U.S. Dollars
6,317,498
Millions of U.S. Dollars
Mil. of U.S. $
line 128
Consumer credit
Q3 2025
5,042,134
Millions of U.S. Dollars
4,996,313
Millions of U.S. Dollars
5,027,784
Millions of U.S. Dollars
Mil. of U.S. $
line 129
Depository institution loans n.e.c.
Q3 2025
233,718
Millions of U.S. Dollars
243,123
Millions of U.S. Dollars
483,212
Millions of U.S. Dollars
Mil. of U.S. $
line 130
Other loans and advances
Q3 2025
961,134
Millions of U.S. Dollars
892,292
Millions of U.S. Dollars
806,502
Millions of U.S. Dollars
Mil. of U.S. $
line 131
Long term (mortgages)
Q3 2025
14,167,580
Millions of U.S. Dollars
14,050,579
Millions of U.S. Dollars
13,776,036
Millions of U.S. Dollars
Mil. of U.S. $
line 132
Insurance, pension and standardized guarantee schemes
Q3 2025
39,218
Millions of U.S. Dollars
42,021
Millions of U.S. Dollars
39,431
Millions of U.S. Dollars
Mil. of U.S. $
line 133
Other accounts payable (trade debt)
Q3 2025
527,675
Millions of U.S. Dollars
523,374
Millions of U.S. Dollars
510,295
Millions of U.S. Dollars
Mil. of U.S. $
line 134
Net worth
Q3 2025
181,631,598
Millions of U.S. Dollars
175,567,611
Millions of U.S. Dollars
168,719,186
Millions of U.S. Dollars
Mil. of U.S. $