Federal Reserve Economic Data

Annual

F.105 General Government

   

Please select a date range

    1946    
 
 
    2024
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
line 1
Current receipts, NIPA basis
2024 8,958,316 8,534,755 8,534,755
line 2
Personal current taxes
2024 3,031,004 2,855,735 2,855,735
line 3
Taxes on production and imports
2024 1,968,942 1,893,111 1,893,111
line 4
Taxes on corporate income
2024 647,489 608,567 608,567
line 5
Taxes from the rest of the world
2024 37,535 35,430 35,430
line 6
Contributions for govt. social insurance
2024 1,903,495 1,822,650 1,822,650
line 7
Income receipts on assets
2024 162,589 144,669 144,669
line 8
Current transfer receipts
2024 1,247,776 1,207,352 1,207,352
line 9
Current surplus of government enterprises
2024 -40,513 -32,759 -32,759
line 10
Current expenditures, NIPA basis
2024 10,870,342 10,262,730 10,262,730
line 11
Consumption expenditures
2024 3,916,729 3,723,955 3,723,955
line 12
Government social benefits
2024 4,443,290 4,178,442 4,178,442
line 13
Other current transfer payments
2024 1,050,365 1,040,974 1,040,974
line 14
Interest payments
2024 1,365,400 1,216,552 1,216,552
line 15
Subsidies
2024 94,558 102,808 102,808
line 16
Net saving, NIPA basis
2024 -1,912,026 -1,727,975 -1,727,975
line 17
+ Consumption of fixed capital
2024 810,105 776,840 776,840
line 18
- Insurance and pension fund reserves
2024 -894 -1,336 -1,336
line 19
- Net capital transfers
2024 35,365 153,613 153,613
line 20
= Gross savings less net capital transfers
2024 -1,136,393 -1,103,412 -1,103,412
line 21
Gross investment
2024 -1,126,321 -1,425,749 -1,425,749
line 22
Fixed investment
2024 1,072,543 986,568 986,568
line 23
Nonproduced nonfinancial assets
2024 15,007 14,823 14,823
line 24
Net lending (+) or net borrowing (-)
2024 -2,213,871 -2,427,139 -2,427,139
line 25
Net acquisition of financial assets
2024 274,179 425,819 425,819
line 26
U.S. official reserve assets
2024 2,943 -133 -133
line 27
Checkable deposits and currency
2024 -34,226 336,338 336,338
line 28
Time and savings deposits
2024 40 3,944 3,944
line 29
Money market fund shares
2024 11,374 6,760 6,760
line 30
Security repurchase agreements
2024 15,276 17,731 17,731
line 31
Debt securities
2024 190,947 160,327 160,327
line 32
Open market paper
2024 16,068 18,650 18,650
line 33
Treasury securities
. . . .
line 34
Agency- and GSE-backed securities
2024 22,866 10,511 10,511
line 35
Municipal securities
2024 3,899 2,349 2,349
line 36
Corporate and foreign bonds
2024 18,754 269 269
line 37
Loans
2024 86,942 -84,981 -84,981
line 38
Mortgages
2024 14,293 15,542 15,542
line 39
Consumer credit
2024 56,752 -25,123 -25,123
line 40
Other loans and advances
2024 8,827 -67,038 -67,038
line 41
Corporate equities
2024 -10,712 -20,405 -20,405
line 42
Mutual fund shares
2024 -3,539 -4,790 -4,790
line 43
Trade receivables
2024 9,534 6,941 6,941
line 44
Taxes receivable
2024 -12,628 -785 -785
line 45
Miscellaneous assets
. . . .
line 46
Net increase in liabilities
2024 2,488,049 2,852,958 2,852,958
line 47
SDR allocations
2024 0 0 0
line 48
SDR certificates
2024 10,000 0 0
line 49
Treasury currency
2024 487 1,249 1,249
line 50
Debt securities
2024 2,010,207 2,403,849 2,403,849
line 51
Treasury securities
2024 1,912,901 2,381,591 2,381,591
line 52
Budget agency securities
2024 278 378 378
line 53
Municipal securities
2024 97,028 21,880 21,880
line 54
Loans
2024 232,465 239,450 239,450
line 55
Multifamily residential mortgages
2024 0 0 0
line 56
Other loans and advances
2024 232,465 239,450 239,450
line 57
Trade payables
2024 110,695 81,669 81,669
line 58
Insurance reserves
2024 2,174 1,315 1,315
line 59
Miscellaneous liabilities
2024 132,021 125,426 125,426
line 60
Discrepancy
2024 -10,073 322,337 322,337
Memo:
line 61
Net acquisition of financial assets (consolidated)
2024 133,114 302,299 302,299
line 62
Net increase in liabilities (consolidated)
2024 2,346,984 2,729,438 2,729,438
   

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