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Quarterly Tables:
S.6.q Financial Business

   
    Q4 1945    
 
 
    Q1 2019
Millions of Dollars
Line Name Q1 2019 Q4 2018 Q1 2018
Current account
1
Gross value added
1,583,245 1,577,146 1,578,453
2
Less: Consumption of fixed capital
246,744 243,614 230,721
3
Equals: Net value added
1,336,501 1,333,532 1,347,732
4
Compensation of employees (paid)
807,911 809,231 808,829
5
Taxes on production and imports less subsidies
69,718 80,484 79,541
6
Operating surplus, net
458,872 443,817 459,362
7
Net national income/Balance of primary incomes, net
258,169 241,500 253,544
8
Operating surplus, net
458,872 443,817 459,362
9
Property income received, net
-200,703 -202,317 -205,818
10
Net national income/Balance of primary incomes, net
258,169 241,500 253,544
11
Less: Current taxes on income, wealth, etc. (paid)
67,559 67,214 62,354
12
Less: Other current transfers (paid)
45,023 36,356 40,505
13
Equals: Disposable income, net
145,585 137,930 150,684
14
Equals: Net saving
145,585 137,930 150,684
Capital account
15
Net saving less capital transfers
145,585 114,252 150,684
16
Net saving
145,585 137,930 150,684
17
Less: Capital transfers paid (net)
0 23,678 0
18
Capital formation, net
42,408 41,178 44,084
19
Gross fixed capital formation (nonresidential)
289,152 284,792 274,805
20
Less: Consumption of fixed capital
246,744 243,614 230,721
21
Net lending (+) or borrowing (-), capital account (lines 15-18)
103,177 73,074 106,600
Financial account
22
Net lending (+) or borrowing (-) (line 21)
103,177 73,074 106,600
23
Net acquisition of financial assets
3,003,094 1,464,605 2,699,582
24
Monetary gold
0 0 0
25
Currency and deposits
-5,061 -907,082 236,753
26
Debt securities
335,739 463,729 2,524,684
27
Open market paper
135,932 -111,872 63,338
28
Treasury securities
-706,323 895,003 1,524,809
29
Agency- and GSE-backed securities (2)
373,227 106,280 139,477
30
Municipal securities
17,699 -141,738 14,655
31
Corporate and foreign bonds
515,205 -283,944 782,404
32
Loans
1,823,379 2,501,909 -216,698
33
Short term
1,310,983 1,974,474 -771,986
34
Long term (mortgages)
512,395 527,436 555,288
35
Equity and investment fund shares
149,004 122,277 159,569
36
Corporate equities
-305,638 15,192 17,211
37
Mutual fund shares
12,339 -102,956 -71,262
38
Money market fund shares
50,410 21,542 -40,235
39
Equity in government-sponsored enterprises (2)
-10,852 4,332 -1,488
40
U.S. direct investment abroad
40,365 478 23,902
41
Stock in Federal Reserve Banks
748 236 1,112
42
Investment in subsidiaries
361,632 183,452 230,328
43
Insurance, pension and standardized guarantee schemes
207,126 -35,053 100,966
44
Other accounts receivable
492,907 -681,176 -105,690
45
Net incurrence of liabilities
2,753,105 1,477,276 2,417,531
46
Currency and deposits
839,468 -250,340 2,462,911
47
Debt securities
614,217 358,830 257,107
48
Agency- and GSE-backed securities (2)
386,566 268,496 255,391
49
Corporate bonds
230,080 53,260 11,782
50
Commercial paper
-2,429 37,073 -10,067
51
Loans
-151,381 1,082,324 -1,211,307
52
Short term
-144,177 1,095,076 -1,197,403
53
Long term (mortgages)
-7,204 -12,752 -13,904
54
Equity and investment fund shares
1,004,691 41,426 792,960
55
Money market fund shares
403,069 385,617 34,650
56
Corporate equity issues
94,796 107,912 319,019
57
Mutual fund shares
236,132 -659,299 182,727
58
Equity in government-sponsored enterprises (2)
-10,616 4,512 -1,784
59
Foreign direct investment in the United States
26,579 22,656 56,152
60
Equity in noncorporate business
-22,308 46,776 25,612
61
Investment by parent
276,292 133,016 175,472
62
Stock in Federal Reserve Banks
748 236 1,112
63
Insurance, pension and standardized guarantee schemes
423,561 493,955 476,556
64
Other accounts payable
22,549 -248,917 -360,696
65
Net lending (+) or borrowing (-), financial account (lines 23-45)
249,989 -12,672 282,052
Other changes in volume account
66
Total other volume changes
-17,682 -60,384 78,135
67
Disaster losses
0 0 0
68
Other volume changes
-34,647 -65,639 46,050
69
Less: Statistical discrepancy ((lines 22-65)/4) (3)
-16,966 -5,255 -32,085
Revaluation account
70
Nonfinancial assets
10,966 16,180 8,691
71
Structures (nonresidential)
8,172 16,334 8,680
72
Equipment
1,891 -339 -134
73
Intellectual property products
903 185 145
74
Financial assets
2,821,557 -2,995,971 -568,617
75
Debt securities
500,271 94,674 -428,438
76
Corporate equities
2,320,689 -3,003,843 -211,462
77
Mutual fund shares
551,910 -654,335 -36,537
78
U.S. direct investment abroad
0 21,100 0
79
Insurance, pension, and standardized guarantee schemes
-551,312 546,434 107,821
80
Liabilities
3,073,071 -4,004,035 -349,853
81
Corporate equity issues
874,807 -1,355,246 -175,147
82
Mutual fund shares
1,417,942 -1,706,826 -105,084
83
Foreign direct investment in the United States
0 -28,030 0
84
Equity in noncorporate business
5,734 -12,142 -1,456
85
Investment by parent
0 0 0
86
Insurance, pension and standardized guarantee schemes
774,588 -901,791 -68,166
87
Changes in net worth due to nominal holding gains/losses
-240,548 1,024,244 -210,073
Changes in balance sheet account
88
Change in net worth ((lines 18+21)/4 + lines 66+87) (4)
-214,282 987,310 -89,591
Balance sheet account (end of period)
89
Total assets
103,889,553 100,487,283 101,123,881
90
Nonfinancial assets (5)
2,041,254 2,019,501 1,942,495
91
Structures (nonresidential)
1,150,148 1,141,277 1,099,882
92
Equipment
660,940 653,832 633,137
93
Intellectual property products
230,166 224,392 209,476
94
Financial assets
101,848,299 98,467,782 99,181,386
95
Monetary gold
11,037 11,037 11,037
96
Currency and deposits
2,472,763 2,433,314 2,995,159
103
Loans
27,065,549 26,827,227 25,413,015
104
Short term
12,077,444 11,923,573 10,954,687
105
Long term (mortgages)
14,988,105 14,903,654 14,458,328
106
Equity and investment fund shares
33,102,461 30,204,534 32,387,261
107
Corporate equities
20,975,606 18,731,307 20,525,885
108
Mutual fund shares
6,074,322 5,523,671 5,955,788
109
Money market fund shares
549,226 543,735 528,784
110
Equity in government-sponsored enterprises (2)
35,785 38,498 37,285
111
U.S. direct investment abroad
1,017,378 1,007,774 986,713
112
Stock in Federal Reserve Banks
32,522 32,335 31,667
113
Investment in subsidiaries
4,417,622 4,327,214 4,321,139
114
Insurance, pension and standardized guarantee schemes
8,191,924 8,637,580 8,116,331
115
Other accounts receivable
4,300,682 4,192,056 4,282,887
116
Total liabilities and net worth
103,889,553 100,487,283 101,123,881
117
Liabilities
105,037,231 101,420,679 102,654,304
118
Currency and deposits
18,695,947 18,634,866 18,626,072
119
Debt securities
14,392,673 14,289,200 13,975,364
120
Agency- and GSE-backed securities (2)
9,124,282 9,089,983 8,847,382
121
Corporate bonds
4,817,271 4,768,061 4,712,946
122
Commercial paper
451,120 431,156 415,036
123
Loans
4,902,971 5,008,826 4,641,120
124
Short term
4,682,337 4,782,622 4,402,552
125
Long term (mortgages)
220,634 226,204 238,568
126
Equity and investment fund shares
34,723,385 32,227,037 33,937,355
127
Money market fund shares
3,079,374 3,038,342 2,793,376
128
Corporate equity issues
10,047,233 9,175,114 9,921,523
129
Mutual fund shares
16,179,620 14,669,831 15,874,256
130
Equity in government-sponsored enterprises (2)
49,578 52,232 50,702
131
Foreign direct investment in the United States
773,389 766,744 774,346
132
Equity in noncorporate business
70,564 70,407 66,771
133
Investment by parent
4,491,105 4,422,032 4,424,714
134
Stock in Federal Reserve Banks
32,522 32,335 31,667
135
Insurance, pension and standardized guarantee schemes
31,139,014 30,243,594 30,296,163
136
Other accounts payable
1,183,242 1,017,156 1,178,230
137
Net worth
-1,147,678 -933,396 -1,530,423
   

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