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Quarterly Tables:
S.5.q Nonfinancial Corporate Business

   
    Q4 1945    
 
 
    Q1 2019
Line Name Q1 2019 Q4 2018 Q1 2018 Units
Current account
1
Gross value added
10,339,833 10,314,157 9,926,471 Mil. of $
2
Less: Consumption of fixed capital
1,624,649 1,597,992 1,529,387 Mil. of $
3
Equals: Net value added
8,715,184 8,716,165 8,397,084 Mil. of $
4
Compensation of employees (paid)
6,052,793 5,998,925 5,861,087 Mil. of $
5
Wages and salaries
5,080,895 5,035,279 4,920,501 Mil. of $
6
Employers’ social contributions
971,898 963,646 940,586 Mil. of $
7
Taxes on production and imports less subsidies
908,093 891,069 851,777 Mil. of $
8
Operating surplus, net
1,754,298 1,826,171 1,684,220 Mil. of $
9
Net national income/Balance of primary incomes, net
879,152 915,171 844,033 Mil. of $
10
Operating surplus, net
1,754,298 1,826,171 1,684,220 Mil. of $
11
Property income received, net
-875,146 -911,000 -840,187 Mil. of $
12
Net national income/Balance of primary incomes, net
879,152 915,171 844,033 Mil. of $
13
Less: Current taxes on income, wealth, etc. (paid)
174,476 167,451 149,694 Mil. of $
14
Less: Other current transfers (paid)
84,774 88,963 92,970 Mil. of $
15
Equals: Disposable income, net
619,902 658,757 601,369 Mil. of $
16
Equals: Net saving
619,902 658,757 601,369 Mil. of $
Capital account
17
Net saving less capital transfers
620,388 674,668 602,474 Mil. of $
18
Net saving
619,902 658,757 601,369 Mil. of $
19
Less: Capital transfers paid (net)
-486 -15,911 -1,105 Mil. of $
20
Capital formation, net
588,359 584,166 474,444 Mil. of $
21
Gross fixed capital formation (acquisition of produced nonfinancial assets)
2,099,712 2,086,194 1,972,977 Mil. of $
22
Less: Consumption of fixed capital
1,624,649 1,597,992 1,529,387 Mil. of $
23
Acquisition of nonproduced nonfinancial assets
4,864 1,371 -1,297 Mil. of $
24
Change in private inventories
108,431 94,593 32,151 Mil. of $
25
Net lending (+) or borrowing (-), capital account (lines 17-20)
32,029 90,502 128,030 Mil. of $
Financial account
26
Net lending (+) or borrowing (-) (line 25)
32,029 90,502 128,030 Mil. of $
27
Net acquisition of financial assets
786,258 184,508 879,406 Mil. of $
28
Currency and deposits
-5,932 -363,032 -205,408 Mil. of $
29
Currency and transferable deposits
81,340 -252,976 -131,280 Mil. of $
30
Time and savings deposits
972 -324 -12,032 Mil. of $
31
Foreign deposits
-88,244 -109,732 -62,096 Mil. of $
32
Debt securities
22,011 84,634 -665 Mil. of $
33
Open market paper
28,091 61,202 33,527 Mil. of $
34
Treasury securities
-5,152 12,172 -20,376 Mil. of $
35
Agency- and GSE-backed securities
-1,720 4,060 -6,792 Mil. of $
36
Municipal securities
792 7,200 -7,024 Mil. of $
37
Loans
2,142 80,463 -51,130 Mil. of $
38
Short term (security repos and consumer credit)
-22,254 56,071 -75,522 Mil. of $
39
Long term (mortgages)
24,396 24,392 24,392 Mil. of $
40
Equity and investment fund shares
283,507 295,549 -649,001 Mil. of $
41
Money market fund shares
71,981 14,311 -24,955 Mil. of $
42
Corporate equities
-77,360 -71,956 -75,804 Mil. of $
43
Mutual fund shares
-9,920 -9,920 -9,920 Mil. of $
44
U.S. direct investment abroad
286,606 385,082 -558,002 Mil. of $
45
Equity in government-sponsored enterprises
380 184 644 Mil. of $
46
Investment in finance company subsidiaries
11,820 -22,152 19,036 Mil. of $
47
Insurance, pension and standardized guarantee schemes
4,116 -1,948 7,536 Mil. of $
48
Other accounts receivable
480,414 88,842 1,778,073 Mil. of $
49
Trade receivables
391,187 -306,459 266,819 Mil. of $
50
Other (miscellaneous assets)
89,227 395,301 1,511,255 Mil. of $
51
Net incurrence of liabilities
755,157 417,399 362,844 Mil. of $
52
Debt securities
422,161 -44,474 296,980 Mil. of $
53
Open market paper
107,148 -143,290 84,702 Mil. of $
54
Municipal securities
11,761 13,992 -10,834 Mil. of $
55
Corporate bonds
303,252 84,824 223,112 Mil. of $
56
Loans
314,534 367,646 50,363 Mil. of $
57
Short term
246,244 312,343 -27,060 Mil. of $
58
Depository institution loans n.e.c.
30,180 351,208 28,504 Mil. of $
59
Other loans and advances
216,063 -38,865 -55,564 Mil. of $
60
Long term (mortgages)
68,290 55,303 77,423 Mil. of $
61
Equity and investment fund shares
-116,276 -341,596 -182,120 Mil. of $
62
Corporate equities
-496,800 -668,400 -378,504 Mil. of $
63
Foreign direct investment in the United States
380,524 326,804 196,384 Mil. of $
64
Insurance, pension and standardized guarantee schemes
-9,057 -5,787 33,939 Mil. of $
65
Pension fund contributions payable
5,176 6,868 10,912 Mil. of $
66
Claim of pension fund on sponsor
-14,233 -12,655 23,027 Mil. of $
67
Other accounts payable
143,795 441,610 163,682 Mil. of $
68
Trade payables
279,002 -137,075 142,583 Mil. of $
69
Taxes payable
7,367 15,421 -10,028 Mil. of $
70
Miscellaneous liabilities
-142,574 563,263 31,127 Mil. of $
Addendum:
71
Net lending (+) or borrowing (-), financial account (lines 27-51)
31,101 -232,891 516,562 Mil. of $
Other changes in volume account
72
Total other volume changes
-57,632 351,618 266,134 Mil. of $
73
Disaster losses
0 0 0 Mil. of $
74
Other volume changes
-65,881 450,142 155,278 Mil. of $
75
Less: Statistical discrepancy ((lines 25-71)/4)
-6,544 97,788 -92,323 Mil. of $
76
Less: Inventory valuation adjustment
-1,705 736 -18,533 Mil. of $
Revaluation account
77
Nonfinancial assets
380,087 33,550 -260,692 Mil. of $
78
Real estate
372,818 3,080 -257,483 Mil. of $
79
Equipment
9,640 -8,800 -4,027 Mil. of $
80
Intellectual property products
16,351 9,750 7,222 Mil. of $
81
Inventories
-18,723 29,519 -6,404 Mil. of $
82
Financial assets
254,730 -335,211 -17,593 Mil. of $
83
Corporate equities
228,536 -286,981 -23,783 Mil. of $
84
Mutual fund shares
26,194 -32,282 -2,003 Mil. of $
85
Direct investment abroad
0 -15,948 8,193 Mil. of $
86
Liabilities
3,527,451 -4,758,757 -175,689 Mil. of $
87
Corporate equity
3,738,340 -5,015,950 -199,838 Mil. of $
88
Foreign direct investment in the United States
0 23,653 -17,156 Mil. of $
89
Insurance, pension and standardized guarantee schemes
-210,889 233,540 41,305 Mil. of $
90
Changes in net worth due to nominal holding gains/losses
-2,892,634 4,457,096 -102,596 Mil. of $
Changes in balance sheet account
91
Change in net worth ((lines 20+25)/4 + lines 72+90)
-2,802,719 4,982,493 309,481 Mil. of $
Balance sheet account (end of period)
92
Total assets
45,642.921 44,680.757 44,023.632 Bil. of $
93
Nonfinancial assets
23,907,319 23,371,635 22,701,600 Mil. of $
94
Real estate
13,472.129 13,075.725 12,749.257 Mil. of $
95
Equipment
5,108,825 5,055,147 4,898,857 Mil. of $
96
Intellectual property products
2,765,081 2,716,052 2,593,389 Mil. of $
97
Inventories
2,561,284 2,524,711 2,460,097 Mil. of $
98
Financial assets
21,735.601 21,309.122 21,322.031 Bil. of $
99
Currency and deposits
1,150,870 1,152,353 1,309,601 Mil. of $
100
Currency and transferable deposits
926.975 906.640 953.394 Bil. of $
101
Time and savings deposits
156.556 156.313 154.064 Bil. of $
102
Foreign deposits
67.339 89.400 202.143 Bil. of $
103
Debt securities
237,145 239,021 230,591 Mil. of $
104
Open market paper
148.429 148.785 126.832 Bil. of $
105
Treasury securities
55.468 56.756 66.201 Bil. of $
106
Agency- and GSE-backed securities
18.489 18.919 22.067 Bil. of $
107
Municipal securities
14.759 14.561 15.491 Bil. of $
108
Loans
139,759 138,952 120,147 Mil. of $
109
Short term
54,049 59,341 58,331 Mil. of $
110
Security repurchases
16.468 20.723 20.749 Bil. of $
111
Consumer credit
37.581 38.618 37.582 Bil. of $
112
Long term (mortgages)
85.710 79.611 61.816 Bil. of $
113
Equity and investment fund shares
8,583,166 8,253,752 8,380,294 Mil. of $
114
Money market fund shares
472,613 466,316 457,027 Mil. of $
115
Corporate equities
1,958,255 1,749,059 1,899,420 Mil. of $
116
Mutual fund shares
294.718 271.004 298.591 Bil. of $
117
U.S. direct investment abroad
5,740,142 5,652,984 5,608,477 Mil. of $
118
Equity in government-sponsored enterprises
1,332 1,237 1,328 Mil. of $
119
Investment in finance company subsidiaries
116,107 113,152 115,451 Mil. of $
120
Insurance, pension and standardized guarantee schemes
378,454 377,425 367,706 Mil. of $
121
Other accounts receivable
11,246,207 11,147,619 10,913,692 Mil. of $
122
Trade receivables
3,304.999 3,253.282 3,142.741 Bil. of $
123
Other (miscellaneous assets)
7,941,208 7,894,337 7,770,951 Mil. of $
124
Total liabilities and net worth
45,642,921 44,680,757 44,023,632 Mil. of $
125
Liabilities
49,303,446 45,538,563 47,580,343 Mil. of $
126
Debt securities
6,407,069 6,283,869 6,263,074 Mil. of $
127
Open market paper
241.104 196.467 242.010 Bil. of $
128
Municipal securities
565.356 562.606 564.127 Bil. of $
129
Corporate bonds
5,600.609 5,524.796 5,456.937 Bil. of $
130
Loans
3,518,563 3,440,797 2,914,819 Mil. of $
131
Short term
2,917,874 2,855,822 2,384,203 Mil. of $
132
Depository institution loans n.e.c.
1,142.061 1,130.101 1,013.689 Bil. of $
133
Other loans and advances
1,775.813 1,725.721 1,370.514 Bil. of $
134
Long term (mortgages)
600.689 584.975 530.616 Bil. of $
135
Equity and investment fund shares
33,723,462 30,016,823 32,014,801 Mil. of $
136
Corporate equity
29,422.713 25,808.573 28,091.374 Bil. of $
137
Foreign direct investment in the United States
4,300,749 4,208,250 3,923,427 Mil. of $
138
Insurance, pension and standardized guarantee schemes
446,445 654,741 496,231 Mil. of $
139
Pension fund contributions payable
111,498 110,204 103,956 Mil. of $
140
Claim of pension fund on sponsor
334,947 544,537 392,275 Mil. of $
141
Other accounts payable
5,207,906 5,142,333 5,891,418 Mil. of $
142
Trade payables
2,517.672 2,517.041 2,350.588 Bil. of $
143
Taxes payable
237,150 229,471 249,970 Mil. of $
144
Miscellaneous liabilities
2,453,084 2,395,821 3,290,860 Mil. of $
145
Net worth
-3,660,525 -857,806 -3,556,712 Mil. of $
   

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