Federal Reserve Economic Data

Annual

F.115 Property-Casualty Insurance Companies

   

Please select a date range

    1946    
 
 
    2023
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
line 1
Gross saving less net capital transfers paid
2023 89,486 66,799 66,799
line 2
Fixed nonresidential investment
2023 45,163 42,171 42,171
line 3
Net acquisition of financial assets
2023 119,370 259,620 259,620
line 4
Checkable deposits and currency
2023 7,886 -22,356 -22,356
line 5
Money market fund shares
2023 2,217 11,421 11,421
line 6
Security repurchase agreements
2023 -1,944 128 128
line 7
Debt securities
2023 87,862 80,077 80,077
line 8
Open market paper
2023 2,070 -152 -152
line 9
Treasury securities
2023 46,409 37,323 37,323
line 10
Agency- and GSE-backed securities
2023 28,056 11,793 11,793
line 11
Municipal securities
2023 -29,338 -7,746 -7,746
line 12
Corporate and foreign bonds
2023 40,665 38,859 38,859
line 13
Loans (commercial mortgages)
2023 2,531 2,730 2,730
line 14
Corporate equities
2023 -24,755 38,511 38,511
line 15
Mutual fund shares
2023 -1,870 -560 -560
line 16
Trade receivables
2023 44,594 26,339 26,339
line 17
U.S. direct investment abroad
2023 30,636 2,159 2,159
line 18
Miscellaneous assets
2023 -27,802 121,426 121,426
line 19
Equity in FHLB
2023 15 -255 -255
line 20
Policy payables
2023 15,125 26,742 26,742
line 21
Other
2023 -41,680 93,846 93,846
line 22
Net increase in liabilities
2023 178,734 137,848 137,848
line 23
Security repurchase agreements
2023 2,281 118 118
line 24
Corporate equity issues
2023 -11,730 -16,324 -16,324
line 25
Loans (other loans and advances)
2023 -29 -1,778 -1,778
line 26
Trade payables
2023 22,045 15,098 15,098
line 27
Taxes payable
2023 532 235 235
line 28
Foreign direct investment in U.S.
2023 10,703 20,712 20,712
line 29
Miscellaneous liabilities
2023 153,757 124,470 124,470
line 30
Investment by parent companies
. . . .
line 31
Policy payables
2023 104,729 120,023 120,023
line 32
Other
2023 48,884 4,721 4,721
line 33
Discrepancy
2023 102,580 -91,526 -91,526
Memo:
line 34
Securities lending
2023 -650 124 124
line 35
Direct reserve
2023 92,918 104,552 104,552
line 36
Reinsured to U.S. reinsurers
2023 9,632 13,930 13,930
line 37
Reinsured to non-U.S. reinsurers
2023 5,493 12,812 12,812
line 38
Reinsured from non-U.S. reinsurers
2023 2,179 1,541 1,541
   

Subscribe to the FRED newsletter


Follow us

Back to Top