Federal Reserve Economic Data

Annual

F.101 Households and Nonprofit Organizations

   

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    1946    
 
 
    2023
Millions of Dollars
Line Name 2023 Preceding
Period
Year Ago
from Period
line 1
Personal income
22,961,282 21,840,767 21,840,767
line 2
- Personal current taxes
2,756,328 3,138,314 3,138,314
line 3
= Disposable personal income
20,204,954 18,702,453 18,702,453
line 4
- Personal outlays
19,305,105 18,079,651 18,079,651
line 5
= Personal saving, NIPA
899,849 622,802 622,802
line 6
+ Government insurance and pension reserves
-1,336 -2,635 -2,635
line 7
- Contr. for govt. soc. insur., U.S.-affiliated areas
6,129 5,759 5,759
line 8
+ Net investment in consumer durables
377,761 398,578 398,578
line 9
+ Consumption of fixed capital
2,500,052 2,380,383 2,380,383
line 10
- Net capital transfers paid
-104,194 2,654 2,654
line 11
= Gross saving less net capital transfers paid
3,874,391 3,390,715 3,390,715
line 12
Gross investment
4,335,714 3,815,455 3,815,455
line 13
Capital expenditures
3,190,852 3,188,196 3,188,196
line 14
Consumer durable goods
2,022,171 1,957,946 1,957,946
line 15
Residential
893,696 970,798 970,798
line 16
Nonprofit nonresidential
291,002 274,991 274,991
line 17
Nonproduced nonfinancial assets
-16,016 -15,539 -15,539
line 18
Net lending (+) or net borrowing (-)
1,144,862 627,259 627,259
line 19
Net acquisition of financial assets
1,714,309 1,794,846 1,794,846
line 20
Foreign deposits
-833 3,425 3,425
line 21
Checkable deposits and currency
-247,832 405,917 405,917
line 22
Time and savings deposits
-437,507 -796,424 -796,424
line 23
Money market fund shares
907,876 290,681 290,681
line 24
Debt securities
1,274,654 1,813,146 1,813,146
line 25
Treasury securities
929,086 1,293,026 1,293,026
line 26
Agency- and GSE-backed securities
178,386 725,746 725,746
line 27
Municipal securities
98,575 27,738 27,738
line 28
Corporate and foreign bonds
68,607 -233,364 -233,364
line 29
Loans
-66,838 -50,296 -50,296
line 30
Other loans and advances
-63,594 -38,292 -38,292
line 31
Mortgages
-3,315 -8,843 -8,843
line 32
Consumer credit (student loans)
71 -3,161 -3,161
line 33
Corporate equities
-295,783 251,069 251,069
line 34
Mutual fund shares
-158,974 -703,254 -703,254
line 35
Trade receivables
24,216 22,476 22,476
line 36
Life insurance reserves
29,057 58,861 58,861
line 37
Pension entitlements
605,328 496,592 496,592
line 38
Equity in noncorporate business
-10,432 -91,605 -91,605
line 39
Miscellaneous assets
91,377 94,258 94,258
line 40
Net increase in liabilities
569,447 1,167,587 1,167,587
line 41
Debt securities (municipal securities)
2,157 -918 -918
line 42
Loans
533,015 1,136,702 1,136,702
line 43
Home mortgages
364,643 815,852 815,852
line 44
Consumer credit
129,467 345,699 345,699
line 45
Depository institution loans n.e.c.
-22,955 75,106 75,106
line 46
Other loans and advances
28,876 -125,707 -125,707
line 47
Commercial mortgages
32,984 25,752 25,752
line 48
Trade payables
31,864 33,276 33,276
line 49
Deferred and unpaid life insurance premiums
2,411 -1,473 -1,473
line 50
Discrepancy
-461,323 -424,740 -424,740
   

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