Integrated Macroeconomic Accounts for the United States Table

S.3.q Households and Nonprofit Institutions Serving Households
  
Today is: 2/20/2013   Last Revised on December 11, 2012  
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Line      2008   
I
   2008   
II
   2008   
III
   2008   
IV
   2009   
I
   2009   
II
   2009   
III
   2009   
IV
   2010   
I
   2010   
II
   2010   
III
   2010   
IV
   2011   
I
   2011   
II
   2011   
III
   2011   
IV
   2012   
I
   2012   
II
   2012   
III
                                              
                                                 Current account
1Gross value added1,764.91,802.31,816.01,839.61,836.61,843.41,846.31,853.11,852.41,857.31,849.41,845.91,874.91,889.51,896.81,907.11,923.71,923.71,926.1
2Less: Consumption of fixed capital291.7294.5296.2296.0295.7292.6290.3292.3294.4293.1295.0297.1298.9301.0302.6304.2304.6306.9309.9
3Equals: Net value added1,473.11,507.81,519.91,543.51,540.91,550.81,555.91,560.91,558.01,564.21,554.41,548.71,575.91,588.51,594.21,602.91,619.11,616.81,616.1
4   Compensation paid by households and NPISHs659.9665.8673.5686.8688.1700.5702.2712.8706.0712.6722.1719.0729.8734.6739.8743.6755.0755.0759.5
5   Taxes on production and imports less subsidies140.0141.8143.3142.9147.6151.1152.7153.2152.4152.1152.3153.0153.8155.0155.7156.9158.0158.3158.5
6   Operating surplus, net673.2700.2703.0713.8705.2699.2701.1694.8699.6699.4680.0676.8692.3698.9698.7702.4706.1703.4698.1
7Net national income/Balance of primary incomes,
    net
11,354.011,374.411,384.311,170.310,662.610,458.110,372.710,440.810,614.310,822.310,913.811,013.411,278.211,368.611,412.311,450.011,643.011,731.611,781.8
8   Operating surplus, net673.2700.2703.0713.8705.2699.2701.1694.8699.6699.4680.0676.8692.3698.9698.7702.4706.1703.4698.1
9   Compensation of employees (received)8,099.08,073.48,084.78,016.17,824.97,801.17,773.67,797.87,846.67,955.48,021.48,056.68,236.38,286.48,318.18,340.18,495.78,527.78,568.1
10      Wages and salaries6,600.56,554.96,550.66,477.46,299.16,278.26,252.26,271.96,298.76,394.66,449.76,475.26,618.56,656.26,678.16,692.46,825.96,849.26,879.6
11      Employers' social contributions1,498.51,518.51,534.11,538.71,525.81,523.01,521.41,526.01,547.91,560.81,571.71,581.41,617.81,630.21,640.01,647.71,669.81,678.51,688.5
12   Property income received, net2,581.82,600.92,596.52,440.42,132.51,957.81,898.11,948.12,068.12,167.42,212.42,280.02,349.62,383.32,395.52,407.52,441.22,500.52,515.6
13Net national income/Balance of primary incomes,
    net
11,354.011,374.411,384.311,170.310,662.610,458.110,372.710,440.810,614.310,822.310,913.811,013.411,278.211,368.611,412.311,450.011,643.011,731.611,781.8
14Less: Current taxes on income, wealth, etc. (paid)1,536.01,351.81,432.11,422.81,199.71,121.31,125.61,131.71,156.91,173.01,211.81,237.51,372.51,396.61,403.81,419.11,450.81,465.21,475.5
15Plus: Social benefits (received)1,762.11,899.51,835.51,872.71,996.62,132.72,129.32,143.42,211.52,218.92,249.82,267.32,276.02,274.82,270.42,276.02,302.72,319.52,341.7
16Less: Social contributions (paid)989.8986.6988.7984.2965.4965.8960.9960.4974.7983.0987.1988.2914.5919.2920.8922.8942.6944.4947.6
17Plus: Other current transfers (received)36.836.636.737.137.038.440.342.745.447.348.049.046.545.144.343.945.345.846.1
18Less: Other current transfers (paid)153.6155.1157.2150.9153.0155.7157.4161.6165.7165.1165.3162.8161.4160.6159.7161.5162.7164.4165.6
19Equals: Disposable income, net10,473.610,817.110,678.610,522.210,378.210,386.510,298.410,373.110,573.910,767.310,847.410,941.011,152.211,212.111,242.811,266.511,434.911,522.811,581.0
20Less: Final consumption expenditures10,018.510,126.510,135.89,861.39,768.49,763.99,888.89,962.510,069.110,148.310,243.610,401.910,566.310,684.910,791.210,873.811,007.211,067.211,149.8
21Equals: Net saving455.0690.6542.8660.9609.8622.7409.6410.6504.8619.1603.9539.1585.9527.2451.6392.7427.7455.7431.3
                                              
                                                 Capital account
22Net saving less capital transfers456.6689.0581.9656.2611.5626.5517.9483.4580.9649.2620.3579.9605.7548.3473.5407.6436.4460.3436.3
23   Net saving455.0690.6542.8660.9609.8622.7409.6410.6504.8619.1603.9539.1585.9527.2451.6392.7427.7455.7431.3
24   Less: Capital transfers paid (net)-1.61.6-39.14.7-1.7-3.8-108.3-72.7-76.1-30.1-16.5-40.8-19.8-21.1-21.8-14.9-8.7-4.6-5.0
25Capital formation, net264.1244.0215.9169.5132.0108.1117.1109.897.0111.284.985.881.185.387.895.5103.5109.8118.4
26   Gross fixed capital formation, excluding
       consumer durables
567.1549.7523.2476.7438.3410.8417.2411.5400.7413.5388.9392.0389.4395.6399.7409.0417.2425.7437.2
27      Residential434.9416.3390.2347.5318.2297.6285.0281.1285.7289.0290.5290.2288.0286.7285.8285.2298.2306.1319.4
28      Nonresidential (nonprofit organizations)132.2133.5133.1129.3120.0113.3132.1130.4115.0124.598.5101.9101.3108.9113.9123.8119.0119.5117.8
29   Less: Consumption of fixed capital291.7294.5296.2296.0295.7292.6290.3292.3294.4293.1295.0297.1298.9301.0302.6304.2304.6306.9309.9
30   Acquisition of nonproduced nonfinancial assets-11.3-11.2-11.2-11.2-10.5-10.1-9.7-9.4-9.3-9.2-9.1-9.1-9.3-9.3-9.3-9.2-9.1-8.9-8.8
31Net lending (+) or borrowing (-), capital
    account (lines 22-25)
192.5445.0366.0486.7479.5518.3400.8373.5483.9537.9535.5494.1524.6463.0385.7312.0332.9350.5317.8
                                         Financial
                                           account
32Net lending (+) or borrowing (-), capital
    account (line 31)
192.5445.0366.0486.7479.5518.3400.8373.5483.9537.9535.5494.1524.6463.0385.7312.0332.9350.5317.8
33Net acquisition of financial assets1,170.1645.7635.4-774.4226.2161.0144.6422.4490.6991.7211.4639.71,020.7301.0944.6735.61,429.51,229.5-596.4
34   Currency and deposits683.6-84.3586.9433.612.2276.4-92.3384.5188.9187.2282.1231.9432.01,000.6551.5707.4530.1453.158.4
35      Currency and transferable deposits154.7116.4-8.9635.519.2322.7-21.4-224.6-84.336.6102.6170.8151.8229.6527.9259.6117.2-11.159.6
36      Foreign deposits-26.7-22.1-23.4-22.3-15.1-6.12.0-6.2-11.17.62.96.812.20.10.4-20.5-7.5-2.3-1.0
37      Time and savings deposits555.7-178.6619.3-179.58.1-40.2-72.9615.3284.3143.0176.654.3268.0770.923.3468.3420.4466.5-0.2
38      Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
39   Debt securities-570.1351.8265.326.375.1-850.7245.8137.5-3.0823.1-646.6581.6-531.2-818.5-305.081.7-357.9479.0-945.4
40      Open market paper-50.9-128.7-166.4-59.3-1.638.039.239.039.838.535.41.717.7-11.9-18.5-8.4-25.8-18.5-28.6
41      U.S. savings bonds-4.0-2.0-1.9-1.7-0.1-2.1-3.6-5.4-3.7-3.2-2.5-3.7-4.3-3.8-2.7-0.1-1.5-2.4-2.2
42      Treasury securities-46.8507.5-14.6235.0615.9277.4438.3361.9399.11,260.7-138.326.2-921.6-598.657.1367.7358.3809.7-81.0
43      Agency- and GSE-backed securities (1)-149.08.2664.9-39.2-770.7-1,182.526.1-285.1-20.5-57.5-106.2197.6336.9-169.6-194.1-33.0-206.0-53.4-270.5
44      Municipal securities-77.069.337.0125.8104.1131.3110.6172.0127.129.5-44.9126.234.6-76.4-53.2-152.7-155.7-3.5-245.5
45      Corporate and foreign bonds-242.3-102.5-253.7-234.1127.6-112.8-364.8-145.0-544.7-445.0-390.1233.65.641.8-93.5-91.6-327.3-252.9-317.5
46   Loans478.469.440.8-1,029.5-322.9-52.641.2-22.135.111.533.1-23.721.9206.8181.3-232.536.532.330.9
47      Short term484.940.450.2-1,021.9-314.7-43.552.0-11.341.324.745.2-10.932.4219.4188.3-219.052.548.245.0
48      Long term (mortgages)-6.529.0-9.4-7.7-8.2-9.1-10.8-10.8-6.2-13.2-12.1-12.8-10.4-12.6-6.9-13.5-16.0-15.9-14.1
49   Equity and investment fund shares251.6-11.7-334.9-450.5373.3658.0-251.4-373.680.0-248.2222.4-455.6811.1-48.5-170.9-195.61,031.0280.6172.0
50      Corporate equities-111.245.4-143.6-178.3531.4318.0-133.6-330.7-95.08.7-110.7-407.3-6.3-368.5-61.0-260.3-87.0-190.6-481.4
51      Mutual fund shares66.7385.4-70.0-344.6-213.8540.7483.4410.0316.8-176.0460.6192.7729.7269.9-112.6310.51,118.1473.7683.5
52      Money market fund shares626.1-156.4153.6317.286.3-184.0-563.6-413.5-254.7-133.2-129.1-216.686.757.33.6-209.4-11.8-11.0-21.1
53      Equity in noncorporate business-330.0-286.2-274.9-244.8-30.6-16.7-37.6-44.2106.147.2-0.8-26.00.6-8.5-2.0-36.511.68.5-8.9
54      Equity investment under Public-Private
          Inv. Program (2)
0.00.00.00.00.00.00.04.86.75.12.51.50.31.31.10.10.10.00.0
55   Insurance, pension and standardized guarantee
       schemes
326.6320.577.3245.788.5129.9201.2296.2189.6218.2320.4305.6286.8-39.4687.7374.6189.8-15.487.6
56      Net equity in life insurance and pension
          funds
274.0290.77.5177.5101.4122.4174.7237.6190.5181.2268.2232.1280.0-45.6615.8275.1212.0-8.179.8
57         Net equity in life insurance reserves33.254.754.4104.762.44.4-0.828.7-4.31.741.5-2.876.883.6109.577.625.0-16.843.1
58         Net equity in pension fund reserves240.8236.0-47.072.839.0118.0175.5208.8194.9179.5226.7234.9203.2-129.1506.2197.5187.08.736.7
59      Prepayments of premiums and reserves
          against claims
52.629.869.868.2-12.97.526.558.6-1.037.152.273.56.86.271.999.6-22.1-7.47.8
60         Net equity in reserves of
             property-casualty insurance companies
11.618.928.2-14.7-5.1-3.1-0.8-11.3-2.212.49.9-7.4-4.021.29.526.2-16.6-3.1-3.9
61         Net equity in other life insurance
             company reserves
42.74.515.67.69.05.922.8-4.05.520.126.76.911.210.426.59.5-0.9-15.718.4
62         Net equity in Retiree Health Care Funds-1.76.426.075.3-16.84.74.573.9-4.34.615.774.0-0.3-25.435.963.9-4.611.4-6.7
63Net incurrence of liabilities678.5-319.6197.0-1,201.7-234.5-84.4-208.1-202.5-434.1-144.9-240.532.6-95.3-351.5-458.7-35.710.178.1-151.2
64   Debt securities (municipals)11.239.9-11.7-2.21.915.06.80.14.6-9.2-10.86.5-1.7-4.3-19.5-5.5-6.5-17.5-15.4
65   Loans639.9-383.2187.4-1,228.4-250.4-108.7-229.4-209.1-470.0-160.5-239.6-4.2-115.3-363.1-447.8-38.32.685.3-137.4
66      Short term347.0-334.4435.9-967.7-269.967.527.6-2.449.184.647.5217.0148.9-115.8-261.7207.0335.0300.6164.8
67         Consumer credit139.861.4-62.1-58.8-80.6-118.5-107.7-156.8-73.6-87.0-13.452.266.778.148.2151.9149.0172.9117.2
68         Depository institution loans n.e.c.44.0-107.350.731.2-68.4130.734.734.8146.987.4-10.4-14.5-68.9-184.5-69.8107.670.4221.4-63.9
69         Other loans and advances4.06.93.99.91.41.7-3.92.92.21.74.51.30.92.13.71.1-1.2-0.62.6
70         Security credit159.2-295.4443.4-949.9-122.353.6104.4116.9-26.482.566.7178.0150.2-11.5-243.7-53.6116.8-93.1108.9
71      Long term (mortgages)292.9-48.8-248.5-260.719.5-176.2-257.0-206.7-519.2-245.1-287.1-221.2-264.2-247.3-186.1-245.3-332.4-215.3-302.2
72   Insurance, pension and standardized guarantee
       schemes
5.21.6-0.86.7-2.0-6.7-1.5-9.510.13.6-11.88.71.71.9-5.0-0.47.57.41.7
73   Other accounts payable (trade debt)22.222.222.222.216.016.016.016.021.221.221.621.620.014.013.68.56.62.80.0
  Addendum:
74Net lending (+) or borrowing (-), financial
    account (lines 33-63)
491.6965.2438.3427.3460.7245.4352.7624.9924.71,136.6451.9607.11,116.0652.51,403.3771.31,419.41,151.5-445.3
                       Other changes in volume
                         account
75Total other volume changes274.8-204.6192.7-25.9557.2-423.4198.2135.1189.3-230.1230.2298.3262.2-337.6541.4-35.7297.9-181.0129.9
76   Net investment in consumer durable goods49.843.232.29.611.410.419.616.416.821.323.831.334.131.531.436.548.044.746.9
77   Disaster losses0.00.08.30.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
78   Other volume changes-2.4-34.9-22.8-54.0434.90.0-1.4-2.0-36.3-11.22.5172.3-3.7-6.7-0.6-256.6-77.04.0-13.2
79   Less: Statistical discrepancy ((lines
       31-[33-63])/4) (3)
-227.5212.9-175.0-18.5-110.9433.8-180.0-120.7-208.9240.2-203.8-94.7-231.8362.4-510.6-184.3-326.9229.7-96.2
                                           
                                              Revaluation account
80   Nonfinancial assets-856.5-1,016.9-749.4-1,149.4-1,000.0-280.9-38.3103.036.527.7-438.2-120.4-116.1-73.8-22.1-103.8461.7355.5298.9
81      Real estate-857.2-1,002.3-754.7-1,125.7-976.2-280.7-7.692.456.552.1-414.7-99.0-121.1-102.8-25.4-83.3462.3359.2316.2
82      Consumer durable goods0.9-15.13.4-25.5-26.4-1.6-28.313.5-16.9-22.8-26.5-24.44.028.02.7-20.0-2.0-4.4-18.5
83      Equipment and software-0.20.41.91.72.61.5-2.3-2.9-3.1-1.73.03.11.01.00.6-0.51.40.71.2
84   Financial assets-2,019.1-949.0-2,273.2-4,313.9-1,877.91,442.12,053.5639.5718.8-1,524.71,931.42,057.91,584.7136.5-3,045.41,602.72,196.8-712.41,352.3
85      Corporate equities-749.1-353.0-983.5-1,684.0-802.9991.61,129.5255.6292.9-732.2920.6972.6859.4150.1-1,478.1626.8974.7-324.4627.7
86      Mutual fund shares-288.0-34.1-408.7-541.2-172.8283.8299.6102.756.9-291.9237.2243.8141.5-25.1-557.3180.9343.7-168.0140.7
87      Equity in noncorporate business-160.4-439.8-125.3-592.7-385.9-605.1-233.6-10.74.2232.990.5171.1180.248.0123.4182.188.590.6162.9
88      Equity investment under Public-Private
          Inv. Program
0.00.00.00.00.00.00.0-0.3-0.5-0.3-0.1-0.10.0-0.1-0.10.00.00.00.0
89      Insurance, pension and standardized
          guarantee schemes
-821.6-122.1-755.7-1,495.9-516.3771.8858.0292.2365.2-733.1683.2670.5403.6-36.4-1,133.5612.9789.9-310.6421.0
90Changes in net worth due to nominal holding
    gains/losses
-2,875.6-1,965.9-3,022.6-5,463.3-2,878.01,161.22,015.3742.6755.3-1,497.01,493.31,937.51,468.562.7-3,067.51,498.92,658.5-356.91,651.2
                    Changes in balance sheet account
91Change in net worth ((lines 25+31)/4 + lines
    75+90) (4)
-2,599.1-1,790.9-2,801.6-5,303.0-2,275.71,116.82,211.31,015.5969.1-1,325.21,735.82,404.61,758.3114.8-2,565.81,594.42,944.5-157.11,721.5
                       Balance sheet account (end
                         of period)
92Total assets77,775.775,904.973,204.967,612.665,153.266,247.068,449.469,454.870,275.768,913.570,625.873,064.874,748.974,779.472,131.773,736.676,637.776,493.778,204.3
93   Nonfinancial assets27,428.826,514.225,865.024,802.523,801.023,554.623,589.923,764.623,782.723,841.323,479.223,450.023,317.023,285.523,347.423,346.523,805.124,219.724,627.3
94      Real estate22,642.921,695.021,003.919,952.218,961.818,704.118,745.718,888.318,906.718,964.218,601.118,561.118,387.418,293.318,317.818,296.918,704.819,075.419,450.7
95      Consumer durable goods4,519.04,547.04,582.64,566.84,551.74,560.44,551.74,581.64,581.44,579.94,577.24,584.14,622.14,681.64,715.64,732.24,778.24,818.54,846.8
96      Equipment and software266.9272.2278.5283.6287.4290.1292.5294.8294.6297.2300.9304.9307.5310.6314.0317.5322.0325.9329.8
97   Financial assets50,346.949,390.747,339.842,810.141,352.242,692.344,859.545,690.246,493.045,072.247,146.649,614.751,431.951,493.948,784.450,390.052,832.752,274.053,577.0
98      Currency and deposits6,356.06,244.36,376.06,525.36,534.16,542.46,511.36,656.06,712.66,697.56,768.06,833.46,943.97,134.27,278.07,506.27,591.07,644.27,674.7
99         Currency and transferable deposits186.6166.9137.9349.6335.4402.0374.7373.6327.2324.5332.1418.8428.1476.5591.8711.0695.9686.6687.8
100         Foreign deposits73.868.362.456.953.151.652.150.547.749.650.452.155.155.155.250.148.347.747.4
101         Time and savings deposits6,095.56,009.06,175.66,118.86,145.66,088.96,084.56,231.96,337.66,323.36,385.66,362.56,460.76,602.56,631.06,745.16,846.86,910.06,939.5
102         Postal savings system deposits0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
103      Debt securities4,743.94,776.14,909.64,759.15,222.74,952.65,089.25,057.55,096.95,248.15,166.25,449.15,381.35,117.95,122.54,802.34,740.84,801.34,635.1
104         Open market paper94.662.420.86.05.615.124.934.644.654.263.063.467.964.960.358.251.747.139.9
105         U.S. savings bonds195.3194.9194.2194.0193.9193.5192.4191.2190.2189.6188.7187.9186.8186.0185.1185.2184.7184.3183.6
106         Treasury securities77.1131.5175.910.9245.5242.3403.2571.1744.3990.31,013.6901.8743.9524.3598.0435.5582.0716.5761.5
107         Agency- and GSE-backed securities (1)635.4647.3826.9748.6539.2249.1271.8167.1151.8150.2139.5169.4244.1213.4181.3134.458.056.37.5
108         Municipal securities1,677.41,704.21,699.11,737.01,763.51,798.21,815.41,866.51,900.71,903.81,884.41,926.01,937.71,911.01,891.21,864.11,829.71,816.11,750.2
109         Corporate and foreign bonds2,064.12,035.81,992.82,062.72,475.02,454.52,381.62,227.02,065.31,960.11,877.02,200.62,201.02,218.32,206.72,125.12,034.61,981.11,892.4
110      Loans1,113.41,130.81,140.9883.5802.8789.7800.0796.8805.5808.4816.7810.8816.2867.9913.3855.2864.3872.3880.1
111         Short term1,005.21,015.31,027.9772.4693.7682.9695.9695.4705.7711.9723.2720.4728.5783.4830.4775.7788.8800.9812.1
112         Long term (mortgages)108.2115.4113.1111.1109.1106.8104.1101.499.996.593.590.387.784.682.879.575.571.568.0
113      Equity and investment fund shares23,723.022,880.821,290.018,416.517,090.817,913.019,056.119,369.619,685.418,817.220,132.221,466.922,790.522,935.220,994.421,997.623,601.023,251.524,241.1
114         Corporate equities8,833.48,481.27,476.95,764.95,074.06,133.27,245.67,434.97,684.16,941.37,850.88,737.79,576.19,620.88,144.48,721.99,656.29,270.29,794.6
115         Mutual fund shares4,357.84,436.23,988.13,342.73,142.13,577.63,972.84,161.14,324.54,003.94,328.74,605.74,957.35,013.94,400.64,645.05,297.35,260.95,542.9
116         Money market fund shares1,457.91,393.71,446.11,581.81,555.31,484.01,358.61,313.11,198.71,140.01,125.91,129.71,098.61,086.81,108.11,114.21,056.01,026.91,044.5
117         Equity in noncorporate business9,073.98,569.68,378.97,727.17,319.56,718.26,479.16,459.66,475.96,728.96,823.26,990.07,154.77,209.57,336.97,512.07,587.17,689.27,854.7
118         Equity investment under Public-Private
             Inv. Program (2)
0.00.00.00.00.00.00.00.92.13.13.63.83.94.14.44.44.44.44.4
119      Insurance, pension and standardized
          guarantee schemes
14,410.614,358.913,623.312,225.711,701.812,494.713,402.913,810.414,192.613,500.914,263.515,054.615,499.815,438.714,476.215,228.716,035.715,704.616,146.0
120         Net equity in life insurance and
             pension funds
13,686.313,627.112,874.111,459.410,938.711,729.712,631.313,024.113,406.612,705.713,455.214,227.914,671.414,608.713,628.314,355.915,168.414,839.215,278.6
121            Net equity in life insurance reserves1,061.71,071.31,065.51,049.81,051.51,072.71,095.51,109.21,115.41,098.51,122.81,137.21,160.31,174.11,174.51,203.61,214.01,201.11,221.8
122            Net equity in pension fund reserves12,624.512,555.811,808.610,409.69,887.210,657.011,535.811,914.912,291.211,607.212,332.313,090.713,511.113,434.612,453.813,152.313,954.413,638.114,056.8
123         Prepayments of premiums and reserves
             against claims
724.4731.8749.3766.3763.1765.0771.6786.3786.0795.3808.3826.7828.4830.0847.9872.8867.3865.4867.4
124            Net equity in reserves of
                property-casualty insurance companies
329.2333.9340.9337.3336.0335.2335.0332.2331.7334.8337.3335.4334.4339.7342.1348.6344.4343.7342.7
125            Net equity in other life insurance
                company reserves
258.3259.4263.3265.2267.4268.9274.6273.6275.0280.0286.7288.4291.2293.8300.4302.8302.6298.6303.2
126            Net equity in Retiree Health Care
                Funds
136.9138.5145.0163.8159.6160.8161.9180.4179.3180.5184.4202.9202.8196.5205.4221.4220.3223.1221.5
127Total liabilities and net worth77,775.775,904.973,204.967,612.665,153.266,247.068,449.469,454.870,275.768,913.570,625.873,064.874,748.974,779.472,131.773,736.676,637.776,493.778,204.3
128   Liabilities14,374.314,294.414,395.914,106.613,922.813,899.813,890.913,880.813,732.713,695.613,672.213,706.513,632.313,548.013,466.113,476.613,433.213,446.413,435.5
129      Debt securities (municipals)253.0263.0260.0259.5259.9263.7265.4265.4266.6264.3261.6263.2262.8261.7256.8255.5253.8249.5245.6
130      Loans13,876.013,780.213,879.313,583.413,395.613,366.513,352.313,340.513,183.413,142.513,119.313,144.413,065.212,978.012,898.812,908.612,863.412,878.412,870.9
131         Short term3,037.42,949.43,101.12,873.32,684.82,696.52,746.22,785.62,761.82,779.62,833.53,020.63,009.52,982.82,958.33,020.53,059.23,132.63,213.6
132            Consumer credit2,513.32,532.42,547.62,548.92,478.62,457.62,462.52,438.72,373.62,354.82,383.72,545.32,512.12,534.12,578.42,631.52,618.92,662.62,724.1
133            Depository institution loans n.e.c.30.7-4.220.426.4-61.6-42.8-23.110.257.573.180.461.045.3-1.0-9.812.434.888.079.5
134            Other loans and advances128.0129.7130.7133.2133.5134.0133.0133.7134.3134.7135.8136.1136.4136.9137.8138.1137.8137.6138.3
135            Security credit365.3291.5402.3164.8134.3147.7173.8203.0196.4217.0233.7278.2315.7312.8251.9238.5267.7244.5271.7
136         Long term (mortgages)10,838.610,830.810,778.210,710.010,710.810,670.010,606.110,555.010,421.710,362.910,285.710,123.810,055.79,995.29,940.59,888.19,804.39,745.89,657.4
137      Insurance, pension and standardized
          guarantee schemes
25.225.525.327.026.524.824.522.124.625.522.624.725.225.624.424.326.228.028.4
138      Other accounts payable (trade debt)220.1225.6231.2236.7240.7244.7248.7252.7258.0263.3268.7274.1279.1282.6286.0288.2289.8290.5290.5
139   Net worth63,401.561,610.658,809.053,506.051,230.452,347.254,558.555,574.056,543.055,217.956,953.759,358.361,116.661,231.458,665.660,260.063,204.563,047.364,768.8
       Footnotes


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