Federal Reserve Economic Data

Annual Tables

S.64.a Pension Funds

   

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    1945    
 
 
    2023
Millions of Dollars
Line Name 2023 Preceding
Period
Year Ago
from Period
Current account
line 1
Gross value added
0 0 0
line 2
Less: Consumption of fixed capital
0 0 0
line 3
Equals: Net value added
0 0 0
line 4
Compensation of employees (paid)
0 0 0
line 5
Wages and salaries
0 0 0
line 6
Employers’ social contributions
0 0 0
line 7
Taxes on production and imports less subsidies
0 0 0
line 8
Operating surplus, net
0 0 0
line 9
Net national income/Balance of primary incomes, net
0 0 0
line 10
Operating surplus, net
0 0 0
line 11
Property income (received)
702,574 652,360 652,360
line 12
Interest
505,536 448,018 448,018
line 13
Distributed income of corporations (dividends)
197,038 204,342 204,342
line 14
Reinvested earnings on U.S. direct investment abroad
0 0 0
line 15
Less: Uses of property income (paid)
702,574 652,360 652,360
line 16
Interest
505,536 448,018 448,018
line 17
Distributed income of corporations
197,038 204,342 204,342
line 18
Dividends
197,038 204,342 204,342
line 19
Withdrawals from income of quasi-corporations
0 0 0
line 20
Reinvested earnings on foreign direct investment
0 0 0
line 21
Rents on land and natural resources
0 0 0
line 22
Net national income/Balance of primary incomes, net
0 0 0
line 23
Less: Current taxes on income, wealth, etc. (paid)
0 0 0
line 24
Plus: Other current transfers received, net
0 0 0
line 25
Equals: Disposable income, net
0 0 0
line 26
Equals: Net saving
0 0 0
Capital account
line 27
Net saving less capital transfers
45,911 7,554 7,554
line 28
Net saving
0 0 0
line 29
Less: Capital transfers (net)
-45,911 -7,554 -7,554
line 30
Capital formation, net
0 0 0
line 31
Gross fixed capital formation (nonresidential)
0 0 0
line 32
Less: Consumption of fixed capital
0 0 0
line 33
Net lending (+) or borrowing (-), capital account (lines 27-30)
45,911 7,554 7,554
Addenda:
line 34
Other current transfers received, net (line 24)
0 0 0
line 35
Contributions received
1,947,657 1,831,171 1,831,171
line 36
Claims to pension benefits
1,256,233 1,188,643 1,188,643
line 37
Actual employer contributions
846,358 788,246 788,246
line 38
Imputed employer contributions
-212,918 -179,778 -179,778
line 39
Actual household contributions
663,368 619,711 619,711
line 40
Less: pension service charges for defined benefit (DB) plans
40,575 39,536 39,536
line 41
Household pension contribution supplements
702,574 652,360 652,360
line 42
Less: pension service charge for defined contribution (DC) plans
11,150 9,832 9,832
line 43
Less: benefit payments and withdrawals
1,927,082 1,774,105 1,774,105
line 44
Less: net change in benefit entitlements from DB plans
-6,889 -9,758 -9,758
line 45
Less: net change in assets from current transaction for DC plans
27,464 66,824 66,824
Financial account
line 46
Net lending (+) or borrowing (-) (line 33)
45,911 7,554 7,554
line 47
Net acquisition of financial assets
378,545 287,545 287,545
line 48
Currency and deposits
-8,075 -4,010 -4,010
line 49
Currency and transferable deposits
-2,742 -5,199 -5,199
line 50
Time and savings deposits
-5,333 1,189 1,189
line 51
Debt securities
28,666 -37,944 -37,944
line 52
Open market paper
-2,683 -16,179 -16,179
line 53
Treasury securities
75,848 -42,135 -42,135
line 54
Agency- and GSE-backed securities
-5,439 -32,037 -32,037
line 55
Municipal securities
-4 -4 -4
line 56
Corporate and foreign bonds
-39,056 52,411 52,411
line 57
Loans
256,764 254,495 254,495
line 58
Short term
261,575 261,553 261,553
line 59
Long term (mortgages)
-4,811 -7,058 -7,058
line 60
Equity and investment fund shares
-56,156 -119,346 -119,346
line 61
Corporate equities
-67,771 18,455 18,455
line 62
Mutual fund shares
19,778 -121,909 -121,909
line 63
Money market fund shares
-8,163 -15,892 -15,892
line 64
Insurance, pension and standardized guarantee schemes
196,223 268,793 268,793
line 65
Other accounts receivable
-38,877 -74,443 -74,443
line 66
Net incurrence of liabilities (pension entitlements)
339,150 286,891 286,891
Addendum:
line 67
Net lending (+) or borrowing (-), financial account (lines 47-66)
39,395 654 654
Other changes in volume account
line 68
Total other volume changes
118,008 -63,265 -63,265
line 69
Disaster losses
0 0 0
line 70
Other volume changes
124,524 -56,365 -56,365
line 71
Less: Statistical discrepancy (lines 33-67)
6,517 6,900 6,900
Revaluation account
line 72
Nonfinancial assets
22 2,174 2,174
line 73
Structures (nonresidential)
71 2,124 2,124
line 74
Equipment
9 36 36
line 75
Intellectual property products
-58 15 15
line 76
Financial assets
1,215,239 -1,694,553 -1,694,553
line 77
Debt securities
91,338 -474,695 -474,695
line 78
Corporate equities
1,272,763 -1,233,517 -1,233,517
line 79
Mutual fund shares
699,973 -1,055,140 -1,055,140
line 80
Insurance, pension, and standardized guarantee schemes
-848,835 1,068,799 1,068,799
line 81
Liabilities (pension entitlements)
1,301,268 -1,713,550 -1,713,550
line 82
Changes in net worth due to nominal holding gains/losses
-86,007 21,171 21,171
Changes in balance sheet account
line 83
Change in net worth (lines 30+33+68+82)
77,911 -34,540 -34,540
Balance sheet account (end of period)
line 84
Total assets
26,398,251 24,549,742 24,549,742
line 85
Nonfinancial assets
28,528 21,990 21,990
line 86
Structures (nonresidential)
21,466 16,290 16,290
line 87
Equipment
1,722 1,290 1,290
line 88
Intellectual property products
5,340 4,410 4,410
line 89
Financial assets
26,369,723 24,527,752 24,527,752
line 90
Currency and deposits
61,557 69,632 69,632
line 91
Currency and transferable deposits
46,067 48,809 48,809
line 92
Time and savings deposits
15,490 20,823 20,823
line 93
Debt securities
2,691,555 2,551,551 2,551,551
line 94
Open market paper
43,380 46,063 46,063
line 95
Treasury securities
860,413 766,897 766,897
line 96
Agency- and GSE-backed securities
395,263 391,679 391,679
line 97
Municipal securities
22 26 26
line 98
Corporate and foreign bonds
1,392,477 1,346,886 1,346,886
line 99
Loans
3,024,529 2,767,765 2,767,765
line 100
Short term
3,004,139 2,742,564 2,742,564
line 101
Long term (mortgages)
20,390 25,201 25,201
line 102
Equity and investment fund shares
13,164,001 11,322,421 11,322,421
line 103
Corporate equities
7,688,560 6,548,568 6,548,568
line 104
Mutual fund shares
5,260,950 4,551,199 4,551,199
line 105
Money market fund shares
214,491 222,654 222,654
line 106
Insurance, pension and standardized guarantee schemes
5,524,584 5,982,018 5,982,018
line 107
Other accounts receivable
1,903,497 1,834,365 1,834,365
line 108
Total liabilities and net worth
26,398,251 24,549,742 24,549,742
line 109
Liabilities (pension entitlements)
26,555,362 24,784,765 24,784,765
line 110
Net worth
-157,111 -235,023 -235,023
   

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