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113

Z.1, March 6, 2014

B.100 Balance Sheet of Households and Nonprofit Organizations (1)


Billions of dollars; amounts outstanding end of period, not seasonally adjusted

1
2
3
4
5
6
7
8
9

Assets
Nonfinancial assets
Real estate
Households (2,3)
Nonprofit organizations
Equipment (nonprofits) (4)
Intellectual property products (nonprofits) (4)
Consumer durable goods (4)
Financial assets

2010

2011

2012

2013

2012

2013

Q3

Q4

Q1

Q2

Q3

Q4

72972.2

77129.5

78331.9

84460.8

94419.3

83001.2

84460.8

87630.7

88995.4

91398.6

94419.3

23664.2

23318.7

23264.0

25003.8

27470.7

24534.3

25003.8

25794.2

26408.0

26974.0

27470.7

18686.6
16907.1
1779.5
279.5
110.0
4588.1

18326.3
16342.7
1983.6
290.6
115.0
4586.7

18109.4
15937.8
2171.6
304.6
123.6
4726.4

19708.3
17391.0
2317.3
315.1
132.4
4848.0

21996.4
19397.8
2598.6
323.5
140.0
5010.8

19270.9
16984.6
2286.3
312.2
131.1
4820.1

19708.3
17391.0
2317.3
315.1
132.4
4848.0

20444.4
18087.5
2356.9
317.2
134.6
4897.9

21015.3
18556.1
2459.2
319.2
136.2
4937.4

21540.6
18996.7
2543.9
321.5
138.1
4973.8

21996.4
19397.8
2598.6
323.5
140.0
5010.8

3
4
5
6
7
8

49308.0

53810.9

55067.9

59457.0

66948.5

58466.9

59457.0

61836.6

62587.4

64424.6

66948.5

10
11
12
13
14

Deposits
Foreign deposits
Checkable deposits and currency
Time and savings deposits
Money market fund shares

8094.8
50.2
400.6
6330.8
1313.2

8060.5
49.7
425.2
6455.9
1129.7

8738.5
46.9
754.0
6827.7
1109.9

9201.1
45.1
826.4
7203.3
1126.3

9447.6
50.8
908.2
7388.5
1100.1

8854.1
46.4
704.5
7042.3
1060.9

9201.1
45.1
826.4
7203.3
1126.3

9205.0
46.5
828.4
7253.7
1076.4

9133.1
51.3
798.5
7264.6
1018.8

9252.3
50.2
793.8
7348.3
1060.1

9447.6
50.8
908.2
7388.5
1100.1

10
11
12
13
14

15
16
17
18
19
20
21
22
23

Credit market instruments


Open market paper
Treasury securities
Agency- and GSE-backed securities
Municipal securities
Corporate and foreign bonds
Other loans and advances (5)
Mortgages
Consumer credit (student loans)

5604.1
22.7
858.8
359.3
1828.0
2311.8
26.8
108.0
88.8

5874.3
21.1
1131.8
355.6
1871.8
2293.8
26.2
95.6
78.4

5489.9
19.4
719.3
323.1
1806.9
2427.3
23.4
96.0
74.5

5640.7
19.0
961.9
194.7
1654.8
2640.9
20.9
81.5
67.1

5652.1
17.0
944.3
121.4
1617.2
2793.1
25.3
72.2
61.7

5547.5
19.1
891.0
209.5
1709.9
2542.5
23.1
84.7
67.5

5640.7
19.0
961.9
194.7
1654.8
2640.9
20.9
81.5
67.1

5598.9
20.0
986.0
156.1
1669.7
2600.2
22.7
79.1
65.0

5670.3
19.8
1048.9
159.1
1672.3
2605.8
24.0
76.6
63.8

5655.5
19.5
1006.4
157.0
1646.6
2664.7
24.5
74.2
62.6

5652.1
17.0
944.3
121.4
1617.2
2793.1
25.3
72.2
61.7

15
16
17
18
19
20
21
22
23

24
25
26
27
28
29
30

Corporate equities (2)


Mutual fund shares (6)
Security credit
Life insurance reserves
Pension entitlements (7)
Equity in noncorporate business (8)
Miscellaneous assets

7491.9
4115.8
668.6
1109.2
15206.0
6216.7
800.9

8996.7
4594.0
694.3
1137.2
16745.7
6900.0
808.2

9049.9
4449.2
752.4
1203.6
17120.8
7384.9
878.8

10337.7
5279.4
776.0
1186.1
18088.8
8073.5
873.6

13864.8
6692.1
833.8
1232.1
19600.7
8724.5
900.8

10269.3
5124.1
780.2
1180.6
17948.8
7899.8
862.6

10337.7
5279.4
776.0
1186.1
18088.8
8073.5
873.6

11632.5
5755.2
782.6
1194.6
18563.3
8232.4
872.2

11779.5
5946.7
820.3
1200.4
18738.6
8424.0
874.4

12546.7
6343.0
826.5
1217.7
19101.5
8600.4
880.9

13864.8
6692.1
833.8
1232.1
19600.7
8724.5
900.8

24
25
26
27
28
29
30

31

Liabilities

32
33
34
35
36
37
38

Credit market instruments


Home mortgages (9)
Consumer credit
Municipal securities (10)
Depository institution loans n.e.c.
Other loans and advances
Commercial mortgages (10)

39
40
41

Security credit
Trade payables (10)
Deferred and unpaid life insurance premiums

42

43
44
45
46
47

Net worth
Memo:
Replacement-cost value of structures:
Residential
Households
Nonprofit organizations
Nonresidential (nonprofits)

Disposable personal income (SAAR)


Household net worth as percentage of
48
disposable personal income (SAAR)
Owners equity in household real
49
estate (11)
Owners equity as percentage of
50
household real estate (12)

14052.0

13775.4

13568.7

13597.9

13755.6

13476.4

13597.9

13542.8

13561.7

13688.5

13755.6

31

13574.2
10417.3
2553.5
265.4
10.2
133.7
194.1

13198.3
9907.2
2648.1
263.2
61.0
136.1
182.7

13017.3
9678.1
2757.0
255.5
12.4
138.1
176.3

12979.6
9435.2
2924.3
241.0
66.3
139.3
173.5

13105.1
9371.6
3098.6
227.8
88.0
141.3
177.7

12888.3
9449.5
2859.4
245.6
23.1
138.3
172.6

12979.6
9435.2
2924.3
241.0
66.3
139.3
173.5

12920.9
9387.5
2924.4
239.4
57.3
139.4
172.9

12945.6
9360.7
2967.7
235.7
66.7
140.7
174.0

13062.3
9382.4
3038.8
232.4
91.9
140.8
176.0

13105.1
9371.6
3098.6
227.8
88.0
141.3
177.7

32
33
34
35
36
37
38

203.0
252.7
22.1

278.2
274.1
24.7

238.9
288.2
24.3

303.7
289.7
24.9

339.2
284.3
27.0

269.1
290.5
28.4

303.7
289.7
24.9

307.9
288.1
25.9

302.6
285.7
27.8

313.7
285.6
26.8

339.2
284.3
27.0

39
40
41

58920.2

63354.2

64763.3

70862.8

80663.7

69524.8

70862.8

74087.9

75433.7

77710.1

80663.7

42

12680.7
12479.0
201.7
1487.7

12730.1
12526.6
203.5
1500.8

12846.1
12640.3
205.8
1554.1

13218.9
13010.0
208.9
1600.3

14172.6
13948.6
224.0
1683.4

13068.5
12861.5
207.0
1590.7

13218.9
13010.0
208.9
1600.3

13451.5
13238.9
212.6
1619.6

13654.4
13438.6
215.8
1644.1

13863.9
13644.8
219.1
1661.1

14172.6
13948.6
224.0
1683.4

43
44
45
46

10937.2

11243.7

11787.4

12245.8

12475.9

12205.1

12520.4

12296.9

12417.4

12567.7

12621.5

47

538.7

563.5

549.4

578.7

646.6

569.6

566.0

602.5

607.5

618.3

639.1

48

6489.7

6435.5

6259.7

7955.8

10026.2

7535.1

7955.8

8700.0

9195.4

9614.3

10026.2

49

38.4

39.4

39.3

45.7

51.7

44.4

45.7

48.1

49.6

50.6

51.7

50

(1) Sector includes domestic hedge funds, private equity funds, and personal trusts.
(2) At market value.
(3) All types of owner-occupied housing including farm houses and mobile homes, as well as second homes that are not rented, vacant homes for sale, and vacant land.
(4) At replacement (current) cost.
(5) Syndicated loans to nonfinancial corporate business by nonprofits and domestic hedge funds.
(6) Value based on the market values of equities held and the book value of other assets held by mutual funds.
(7) Includes public and private defined benefit and defined contribution pension plans and annuities, including those in IRAs, at life insurance companies. Excludes social security.
(8) Net worth of nonfinancial noncorporate business (table B.103, line 33) and owners equity in unincorporated security brokers and dealers.
(9) Includes loans made under home equity lines of credit and home equity loans secured by junior liens, shown on table L.218, line 23.
(10) Liabilities of nonprofit organizations.
(11) Line 4 less line 33.
(12) Line 49 divided by line 4.

Balance Sheets

2009

114

Z.1, March 6, 2014

B.102 Balance Sheet of Nonfinancial Corporate Business


Billions of dollars; amounts outstanding end of period, not seasonally adjusted
2009

2010

2011

2012

2013

2012

2013

Q3

Q4

Q1

Q2

Q3

Q4

With nonfinancial assets stated at either market value or replacement cost:


1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21

Balance Sheets

22

Assets
Nonfinancial assets
Real estate (1)
Equipment (2)
Intellectual property products (2)
Inventories (2)
Financial assets
Foreign deposits
Checkable deposits and currency
Time and savings deposits
Money market fund shares
Security repurchase agreements
Commercial paper
Treasury securities
Agency- and GSE-backed securities
Municipal securities
Mortgages
Consumer credit
Trade receivables
Mutual fund shares (1)
Miscellaneous assets
Liabilities

27215.4

29012.7

30596.8

32446.8

34994.9

32058.2

32446.8

32908.8

33605.5

34360.4

34994.9

13881.6

14979.0

16073.7

16945.9

18263.5

16781.2

16945.9

17143.2

17578.9

17979.6

18263.5

6777.3
3826.9
1572.1
1705.3

7578.4
3887.7
1639.3
1873.6

8318.9
4023.7
1719.8
2011.2

8880.3
4146.9
1819.1
2099.6

9955.4
4243.6
1902.6
2161.8

8770.0
4115.2
1806.1
2089.8

8880.3
4146.9
1819.1
2099.6

9016.3
4169.7
1842.1
2115.1

9414.8
4191.0
1858.2
2114.9

9743.5
4218.6
1880.1
2137.4

9955.4
4243.6
1902.6
2161.8

3
4
5
6

13333.8

14033.7

14523.2

15500.8

16731.5

15277.1

15500.8

15765.6

16026.6

16380.8

16731.5

31.5
155.0
488.8
655.5
7.9
56.0
43.0
14.3
27.1
29.5
53.8
2053.9
162.0
9555.5

40.6
234.6
548.7
497.8
12.1
68.0
48.0
16.0
23.9
28.0
46.2
2155.8
186.8
10127.0

34.8
264.3
561.9
462.4
12.6
67.9
43.0
14.3
22.3
27.4
48.5
2239.2
165.9
10558.6

13.4
357.0
586.6
458.3
10.3
60.3
50.2
11.7
34.4
26.9
48.5
2322.7
181.7
11338.8

56.5
464.1
661.6
455.4
9.2
40.2
51.8
7.3
26.6
26.3
43.1
2462.7
211.5
12215.4

9.4
343.4
576.9
437.9
11.2
60.4
56.0
16.2
28.3
27.0
47.8
2414.0
179.6
11069.1

13.4
357.0
586.6
458.3
10.3
60.3
50.2
11.7
34.4
26.9
48.5
2322.7
181.7
11338.8

28.9
396.7
594.9
444.2
9.9
56.9
41.6
3.9
20.7
26.7
42.0
2426.5
190.9
11481.7

60.2
380.5
610.3
432.0
9.3
50.9
48.4
6.1
21.0
26.6
42.0
2504.0
192.7
11642.7

63.4
412.7
646.3
450.3
13.2
42.6
48.6
6.2
21.0
26.5
42.6
2520.6
201.6
11885.3

56.5
464.1
661.6
455.4
9.2
40.2
51.8
7.3
26.6
26.3
43.1
2462.7
211.5
12215.4

8
9
10
11
12
13
14
15
16
17
18
19
20
21

12904.6

13227.9

13879.6

14386.3

14960.9

14251.4

14386.3

14495.7

14605.7

14778.0

14960.9

22

23
24
25
26
27
28
29

Credit market instruments


Commercial paper
Municipal securities (3)
Corporate bonds (4)
Depository institution loans n.e.c.
Other loans and advances
Mortgages

7336.0
58.4
452.2
4366.2
546.0
1139.1
774.0

7473.5
82.9
485.4
4804.8
480.9
948.3
671.2

7998.4
116.3
493.9
5215.6
549.8
1008.5
614.4

8685.9
130.3
509.1
5795.2
609.5
1036.9
604.8

9441.5
143.1
518.5
6435.5
654.1
1057.9
632.4

8440.9
136.0
504.1
5599.7
574.7
1028.1
598.3

8685.9
130.3
509.1
5795.2
609.5
1036.9
604.8

8832.5
140.1
510.4
5940.0
605.4
1037.1
599.4

9052.6
147.2
515.0
6082.7
621.8
1076.4
609.4

9263.9
171.1
516.4
6269.0
627.8
1066.6
613.0

9441.5
143.1
518.5
6435.5
654.1
1057.9
632.4

23
24
25
26
27
28
29

30
31
32

Trade payables
Taxes payable
Miscellaneous liabilities

1590.2
35.7
3942.7

1746.5
42.9
3965.0

1771.7
51.7
4057.8

1890.1
58.3
3752.0

2018.2
41.0
3460.1

1875.2
61.2
3874.2

1890.1
58.3
3752.0

1917.4
65.0
3680.7

1946.5
52.3
3554.3

1994.7
54.7
3464.7

2018.2
41.0
3460.1

30
31
32

33

Net worth (market value)

14310.8

15784.8

16717.2

18060.5

20034.0

17806.8

18060.5

18413.2

18999.9

19582.5

20034.0

33

163.5
6882.9
12512.2
51.3
58.6
87.4

166.3
7114.3
14371.6
47.3
52.0
91.0

168.4
7456.1
14500.8
47.8
55.2
86.7

169.1
7655.8
16107.0
48.1
53.9
89.2

180.9
8043.3
21363.1
47.1
44.2
106.6

168.0
7605.2
16366.8
47.4
51.6
91.9

169.1
7655.8
16107.0
48.1
53.9
89.2

172.0
7744.0
18149.1
48.0
48.7
98.6

174.5
7858.4
18383.0
47.6
49.2
96.8

177.0
7938.3
19569.1
47.3
47.3
99.9

180.9
8043.3
21363.1
47.1
44.2
106.6

34
35
36
37
38
39

23980.1

25015.2

25965.1

27441.2

29177.0

27120.3

27441.2

27854.9

28209.4

28715.0

29177.0

40

34
35
36
37
38
39

Memo:
Replacement-cost value of structures:
Residential
Nonresidential
Market value of equities outstanding
Debt/net worth (percent) (5)
Debt/equities (percent) (6)
Equities/net worth (percent) (7)
With nonfinancial assets stated at historical cost:

40

Assets (8)

41
42
43
44
45

Nonfinancial assets
Real estate
Equipment
Intellectual property products
Inventories

10646.4
4209.8
3463.8
1480.1
1492.7

10981.5
4379.6
3502.6
1539.7
1559.5

11441.9
4542.0
3608.6
1609.9
1681.4

11940.3
4731.1
3748.7
1685.0
1775.5

12445.5
4940.3
3894.2
1764.1
1847.0

11843.2
4677.4
3711.9
1665.6
1788.4

11940.3
4731.1
3748.7
1685.0
1775.5

12089.3
4775.0
3785.1
1704.8
1824.4

12182.8
4818.7
3821.3
1723.5
1819.3

12334.2
4879.3
3856.4
1743.2
1855.2

12445.5
4940.3
3894.2
1764.1
1847.0

41
42
43
44
45

46

Net worth (historical cost) (9)

11075.6

11787.3

12085.5

13054.9

14216.1

12868.9

13054.9

13359.2

13603.7

13937.0

14216.1

46

80.7
3682.7
66.2

81.6
3811.2
63.4

82.6
3953.7
66.2

84.2
4130.5
66.5

86.5
4318.4
66.4

83.7
4083.0
65.6

84.2
4130.5
66.5

84.7
4173.0
66.1

85.3
4219.3
66.5

85.9
4268.6
66.5

86.5
4318.4
66.4

47
48
49

Memo:
Historical-cost value of structures:
47
Residential
48
Nonresidential
49 Debt/net worth (percent) (10)

(1) At market value.


(2) At replacement (current) cost.
(3) Industrial revenue bonds. Issued by state and local governments to finance private investment and secured in interest and principal by the industrial user of the funds.
(4) Through 1992, corporate bonds include net issues by Netherlands Antillean financial subsidiaries, and U.S. direct investment abroad excludes net inflows from those bond issues.
(5) Line 23 divided by line 33.
(6) Line 23 divided by line 36
(7) Line 36 divided by line 33.
(8) Sum of lines 7 and 41.
(9) Line 40 less line 22.
(10) Line 23 divided by line 46.

115

Z.1, March 6, 2014

B.103 Balance Sheet of Nonfinancial Noncorporate Business


Billions of dollars; amounts outstanding end of period, not seasonally adjusted
2010

2011

2012

2013

2012
Q3

Q1

Q2

Q3

Q4

11931.9

12554.9

13108.8

13881.4

14684.1

13669.8

13881.4

14045.5

14281.9

14513.2

14684.1

Nonfinancial assets

8355.8

8827.2

9364.3

10062.0

10769.3

9884.1

10062.0

10220.1

10429.4

10630.6

10769.3

3
4
5

Real estate (1)


Residential
Nonresidential

7301.0
4269.3
3031.8

7720.8
4409.1
3311.7

8195.2
4583.2
3612.0

8858.5
4966.2
3892.4

9696.6
5471.2
4225.4

8681.5
4854.5
3827.0

8858.5
4966.2
3892.4

9045.9
5104.3
3941.6

9282.3
5220.8
4061.4

9514.3
5355.4
4158.9

9696.6
5471.2
4225.4

3
4
5

6
7
8

Equipment (2)
Residential (3)
Nonresidential

657.1
44.0
613.1

667.4
42.2
625.2

693.7
43.7
650.0

712.9
44.1
668.8

622.2
42.9
579.3

711.2
44.0
667.2

712.9
44.1
668.8

693.0
44.1
648.9

670.7
43.5
627.2

649.4
43.1
606.3

622.2
42.9
579.3

6
7
8

Intellectual property products (2)


Inventories (2)

175.8
221.9

183.0
256.0

191.0
284.4

201.8
288.8

153.2
297.2

202.3
289.1

201.8
288.8

191.1
290.1

180.6
295.8

168.6
298.4

153.2
297.2

9
10

3576.1

3727.8

3744.5

3819.4

3914.9

3785.7

3819.4

3825.4

3852.5

3882.5

3914.9

11

534.3
353.3
73.7

531.5
356.2
76.8

529.1
360.1
77.7

543.9
365.3
78.8

555.2
375.6
81.0

538.1
362.6
78.2

543.9
365.3
78.8

544.3
366.1
79.0

547.5
369.0
79.6

551.2
372.2
80.3

555.2
375.6
81.0

12
13
14

89.1

95.8

96.8

98.2

100.9

97.5

98.2

98.4

99.2

100.0

100.9

15

46.1
5.1
37.9
0.0

48.1
5.6
42.1
0.0

48.6
5.7
42.5
0.0

49.3
5.8
43.1
0.0

50.7
5.9
44.3
0.0

48.9
5.7
42.8
0.0

49.3
5.8
43.1
0.0

49.4
5.8
43.2
0.0

49.8
5.8
43.6
0.0

50.2
5.9
43.9
0.0

50.7
5.9
44.3
0.0

16
17
18
19

496.3
2029.3
101.7
6.3
1921.3

533.4
2134.1
131.4
6.7
1996.0

539.2
2141.6
119.8
7.0
2014.8

546.9
2186.3
134.9
7.2
2044.3

562.3
2239.9
129.6
7.8
2102.6

542.8
2166.5
130.1
7.1
2029.4

546.9
2186.3
134.9
7.2
2044.3

548.1
2189.5
133.0
7.1
2049.4

552.5
2204.7
132.2
7.4
2065.2

557.2
2221.7
130.9
7.6
2083.1

562.3
2239.9
129.6
7.8
2102.6

20
21
22
23
24

5730.0

5670.9

5737.0

5826.5

5978.8

5789.0

5826.5

5832.4

5877.2

5930.4

5978.8

25

3984.5

3946.3

3968.5

4047.4

4180.3

4008.5

4047.4

4047.1

4087.7

4130.4

4180.3

26

944.0
172.0
2868.5

923.7
170.6
2852.0

980.4
171.2
2816.8

1070.6
180.6
2796.2

1120.5
187.1
2872.7

1047.8
176.9
2783.8

1070.6
180.6
2796.2

1075.4
180.1
2791.6

1093.5
180.6
2813.5

1105.7
181.6
2843.1

1120.5
187.1
2872.7

27
28
29

397.4
99.9
1248.1

427.7
99.2
1197.7

435.5
100.3
1232.7

434.8
101.9
1242.4

444.1
104.9
1249.6

433.0
101.0
1246.4

434.8
101.9
1242.4

439.0
102.1
1244.2

441.2
103.0
1245.4

443.8
103.9
1252.3

444.1
104.9
1249.6

30
31
32

6201.9

6884.0

7371.8

8055.0

8705.3

7880.8

8055.0

8213.2

8404.6

8582.7

8705.3

33

2815.4
1586.0

2839.6
1595.4

2861.5
1646.2

2875.3
1682.6

3062.3
1841.6

2862.1
1678.5

2875.3
1682.6

2920.4
1724.6

2959.1
1768.7

2999.7
1802.0

3062.3
1841.6

34
35

64.2

57.3

53.8

50.2

48.0

50.9

50.2

49.3

48.6

48.1

48.0

36

9
10
11

Assets

2013
Q4

Financial assets

12
13
14

Checkable deposits and currency


Time and savings deposits
Money market fund shares

15

Credit market instruments

16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33

Treasury securities
Municipal securities
Mortgages
Consumer credit
Trade receivables
Miscellaneous assets
Insurance receivables
Equity investment in GSEs (4)
Other
Liabilities
Credit market instruments
Depository institution loans n.e.c.
Other loans and advances
Mortgages
Trade payables
Taxes payable
Miscellaneous liabilities
Net worth (5)
Memo:

34
35
36

Replacement-cost value of structures:


Residential
Nonresidential
Debt/net worth (percent) (6)

(1) At market value.


(2) At replacement (current) cost.
(3) Durable goods in rental properties.
(4) Equity in the Farm Credit System.
(5) Line 1 less line 25. Included in table B.100, line 31.
(6) Line 26 divided by line 33.

Balance Sheets

2009

116

Z.1, March 6, 2014

R.100 Change in Net Worth of Households and Nonprofit Organizations


Billions of dollars; not seasonally adjusted
2009

1
2

Change in net worth (1)


Net investment

2010

2011

2012

2013

2012

2013

Q3

Q4

Q1

Q2

Q3

Q4

1740.5

4434.0

1409.1

6099.6

9800.9

2258.6

1338.1

3225.1

1345.8

2276.4

2953.6

936.0

1273.6

1525.5

1236.9

1166.4

247.3

402.0

501.2

162.5

169.2

333.5

3
4
5

Net physical investment


Capital expenditures
- Consumption of fixed capital

105.4
1429.3
1323.8

130.3
1448.9
1318.6

167.3
1509.6
1342.2

240.2
1613.2
1373.0

336.4
1734.1
1397.7

59.9
404.7
344.8

68.4
415.8
347.4

79.8
423.1
343.3

83.6
431.1
347.5

89.0
440.5
351.4

84.0
439.4
355.4

3
4
5

6
7
8

Net lending (+) or net borrowing (-)


Net acquisition of financial assets
- Net increase in liabilities

830.6
648.7
-181.8

1143.4
892.9
-250.5

1358.2
1146.1
-212.1

996.7
1090.7
94.0

829.9
976.5
146.6

187.4
176.0
-11.4

333.6
457.4
123.8

421.4
366.2
-55.1

78.9
97.7
18.9

80.2
195.9
115.7

249.5
316.6
67.1

6
7
8

432.9

2526.3

95.3

4673.3

8444.1

1852.3

915.0

2710.2

1043.2

2084.5

2606.2

-1195.1
1570.4
471.1
-1183.8
34.8
735.9
-0.3

-383.7
1691.6
250.5
492.2
21.7
455.0
-1.0

-241.8
191.3
-273.3
538.1
-7.4
-111.4
-0.2

1558.7
1612.8
346.7
701.0
18.9
435.3
-0.1

2186.0
3850.8
689.8
658.7
39.4
1019.5
0.0

404.8
817.6
134.5
284.2
8.1
203.1
0.0

438.5
215.0
88.3
189.6
-0.4
-16.1
0.0

714.0
1295.7
164.5
149.8
13.5
372.8
0.0

544.5
217.0
16.1
196.5
1.3
67.7
0.0

496.7
914.5
251.2
188.9
6.9
226.3
0.0

430.8
1423.5
258.1
123.6
17.7
352.6
0.0

10
11
12
13
14
15
16

9
10
11
12
13
14
15
16

17
18
19
20
21

Holding gains on assets


at market value (2)
Real estate
Corporate equities
Mutual fund shares
Equity in noncorporate business
Life insurance reserves
Pension entitlements
Equity investment under PPIP
Holding gains on assets
at current cost (2)
Consumer durable goods
Equipment
Intellectual property products
Other volume changes (3)

-41.0

-85.4

22.2

-35.0

-50.8

-17.2

-15.4

-2.7

-13.9

-18.0

-16.2

17

-40.8
-0.5
0.3

-88.3
1.4
1.5

17.9
2.0
2.3

-38.8
0.6
3.2

-53.3
-0.0
2.5

-18.1
0.3
0.6

-16.1
0.7
0.1

-3.2
-0.3
0.8

-14.2
-0.2
0.4

-19.0
0.4
0.6

-17.0
0.0
0.7

18
19
20

412.5

719.3

-233.9

224.4

241.2

176.2

36.5

16.4

154.0

40.7

30.1

21

58920.2
10937.2

63354.2
11243.7

64763.3
11787.4

70862.8
12245.8

80663.7
12475.9

69524.8
12205.1

70862.8
12520.4

74087.9
12296.9

75433.7
12417.4

77710.1
12567.7

80663.7
12621.5

22
23

Memo:

Balance Sheets

22
23

Net worth outstanding (4)


Disposable personal income

(1) Sum of net investment (line 2), holding gains (lines 9 and 17), and other volume changes (line 21).
(2) Calculated as change in amount outstanding less net purchases during period less disaster-related losses to fixed assets.
(3) Consists of statistical discontinuities and disaster-related losses to fixed assets. Also includes the difference between series for consumption of fixed capital published by BEA.
(4) Table B.100, line 42.

117

Z.1, March 6, 2014

R.102 Change in Net Worth of Nonfinancial Corporate Business


Billions of dollars; not seasonally adjusted
2009

1
2

Change in net worth (1)


Net investment

2010

2011

2012

2013

2012

2013

Q3

Q4

Q1

Q2

Q3

Q4

-2004.0

1474.0

932.4

1343.3

1973.5

554.4

253.7

352.7

586.7

582.6

451.6

401.0

55.6

-613.6

164.0

216.1

41.1

51.5

41.8

54.1

75.3

44.9

3
4
5
6

Net physical investment


Capital expenditures
- Consumption of fixed capital
- Inventory valuation adjustment

-87.8
1009.3
1090.4
6.7

187.6
1238.9
1092.4
-41.0

258.9
1337.2
1134.4
-56.0

327.6
1504.1
1186.6
-10.0

335.1
1575.6
1236.7
3.7

89.1
382.0
298.3
-5.5

75.1
373.8
300.8
-2.1

72.8
374.1
304.6
-3.3

76.2
386.5
308.1
2.2

91.5
402.4
310.4
0.4

94.7
412.7
313.7
4.3

3
4
5
6

7
8
9

Net lending (+) or net borrowing (-)


Net acquisition of financial assets
- Net increase in liabilities

551.0
302.4
-248.5

145.5
633.2
487.8

-400.3
494.1
894.4

235.9
910.4
674.5

264.7
1045.8
781.1

50.8
237.1
186.3

77.3
227.8
150.5

33.0
202.4
169.4

83.3
247.6
164.3

96.2
316.4
220.2

52.1
279.5
227.4

7
8
9

-62.1

-277.4

-472.2

-399.5

-383.7

-98.8

-100.9

-64.0

-105.4

-112.5

-101.9

10

10

Net corporate equity issues

11

Holding gains on assets


at market value (2)

-2624.4

755.4

685.8

499.8

998.6

319.0

89.5

127.7

379.6

304.3

186.9

11

12
13

Real estate
Mutual fund shares

-2644.8
20.4

741.8
13.6

693.9
-8.1

484.6
15.1

969.5
29.1

312.8
6.2

87.5
2.0

118.7
9.1

378.0
1.6

295.6
8.7

177.2
9.7

12
13

165.6

3.4

135.8

52.8

-0.2

78.9

5.7

-25.3

-30.5

50.0

5.6

14

-10.1
3.0
39.9

48.4
22.2
63.6

62.2
27.6
42.5

21.1
45.2
7.4

-8.2
27.4
-8.2

6.1
8.8
19.7

6.7
-0.8
1.8

-3.6
8.8
4.0

-4.8
3.0
-9.2

2.7
8.0
-3.7

-2.5
7.5
0.6

15
16
17

-35.7
-168.5

-145.6
-14.8

-7.1
-10.7

-24.9
-4.0

-60.2
-49.1

54.3
10.1

-26.1
-24.1

-47.8
-13.3

-34.1
-14.6

21.7
-21.3

0.0
0.0

18
19

53.8

659.6

724.4

626.7

759.1

115.5

107.0

208.4

183.5

153.0

214.1

20

14310.8

15784.8

16717.2

18060.5

20034.0

17806.8

18060.5

18413.2

18999.9

19582.5

20034.0

21

14
15
16
17

Holding gains on assets less


liabilities at current cost (2)
Equipment
Intellectual property products
Inventories (3)

18
19

Direct investment abroad


- Foreign direct investment in U.S.

20

Other volume changes (4)

Net worth outstanding (5)

(1) Sum of net investment (line 2), holding gains (lines 11 and 14), and other volume changes (line 20).
(2) Calculated as change in amount outstanding less net purchases during period less disaster-related losses to fixed assets.
(3) Before inventory valuation adjustment.
(4) Consists of statistical discontinuities and disaster-related losses to fixed assets.
(5) Table B.102, line 33.

Balance Sheets

Memo:
21

118

Z.1, March 6, 2014

R.103 Change in Net Worth of Nonfinancial Noncorporate Business


Billions of dollars; not seasonally adjusted
2009

Change in net worth (1)

Net capital transfers paid

Net investment

4
5
6

Net physical investment


Capital expenditures
- Consumption of fixed capital

7
8
9

Net lending (+) or net borrowing (-)


Net acquisition of financial assets
- Net increase in liabilities

2010

2011

2012

2013

2012

2013

Q3

Q4

Q1

Q2

Q3

Q4

-1257.8

682.1

487.7

683.2

650.4

280.1

174.2

158.2

191.5

178.1

122.6

-6.0

-7.8

-1.6

-4.9

0.0

-0.0

-4.9

0.0

0.0

0.0

0.0

-64.4

194.0

-49.9

-5.4

-5.5

-2.4

-1.1

10.4

-5.2

-8.4

-2.2

-12.8
240.2
253.0

-10.8
241.0
251.8

-0.9
255.8
256.8

9.3
273.8
264.5

51.4
326.8
275.4

0.3
66.7
66.4

2.7
69.7
66.9

10.3
78.0
67.7

12.5
80.9
68.4

14.8
84.0
69.2

13.8
83.9
70.1

4
5
6

18.8
-117.0
-135.8

18.6
151.7
133.1

2.5
16.7
14.2

-4.3
74.9
79.3

-51.4
95.5
146.9

-0.3
15.7
16.0

2.2
33.7
31.5

-10.3
6.0
16.3

-12.5
27.1
39.6

-14.8
30.0
44.8

-13.8
32.4
46.1

7
8
9

10

Proprietors net investment (2)

-70.4

186.2

-51.5

-10.3

-5.5

-2.4

-6.0

10.4

-5.2

-8.4

-2.2

10

11

Holding gains on real estate (3)

-1187.5

437.5

487.7

670.8

828.8

270.3

184.1

187.0

234.3

228.7

178.8

11

-477.7
-709.8

156.8
280.7

188.7
299.0

397.8
273.0

501.9
327.0

149.5
120.8

120.3
63.7

138.6
48.4

116.0
118.3

133.1
95.6

114.1
64.7

12
13

-4.9

46.8

50.4

26.2

-173.0

12.2

-0.3

-39.2

-37.6

-42.2

-54.0

14

-2.7
6.1
0.2
-8.6

-2.3
10.9
2.0
36.2

1.3
15.6
2.4
31.1

1.0
11.2
4.6
9.3

0.2
-94.9
-53.1
-25.2

-0.2
4.8
0.8
6.8

0.3
-0.5
-2.3
2.2

0.4
-21.4
-12.0
-6.2

-0.2
-23.3
-11.7
-2.4

-0.2
-21.9
-13.0
-7.1

0.3
-28.4
-16.3
-9.6

15
16
17
18

5.0

11.6

1.2

-3.6

0.0

0.0

-3.6

0.0

0.0

0.0

0.0

19

6201.9

6884.0

7371.8

8055.0

8705.3

7880.8

8055.0

8213.2

8404.6

8582.7

8705.3

20

12
13
14
15
16
17
18
19

Residential
Nonresidential
Holding gains on assets at current cost (3)
Residential equipment
Nonresidential equipment
Intellectual property products
Inventories
Other volume changes (4)
Memo:

Balance Sheets

20

Net worth outstanding (5)

(1) Sum of net capital transfers paid (line 2), net investment (line 3), holding gains (lines 11 and 14), and other volume changes (line 19).
(2) Shown on table F.103, line 30.
(3) Calculated as change in amount outstanding less net investment during period less disaster-related losses to fixed assets.
(4) Consists of statistical discontinuities and disaster-related losses to fixed assets.
(5) Table B.103, line 33.

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