Federal Reserve Economic Data

Annual Tables

S.8.a State and Local Governments

   

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    1945    
 
 
    2023
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
Current account
line 1
Gross value added
2023 2,142,758 2,041,826 2,041,826
line 2
Less: Consumption of fixed capital
2023 398,648 375,732 375,732
line 3
Equals: Net value added
2023 1,744,110 1,666,094 1,666,094
line 4
Compensation of employees (paid)
2023 1,774,017 1,678,807 1,678,807
line 5
Wages and salaries
2023 1,300,445 1,219,370 1,219,370
line 6
Employers’ social contributions
2023 473,572 459,437 459,437
line 7
Operating surplus, net
2023 -29,907 -12,714 -12,714
line 8
Net national income/Balance of primary incomes, net
2023 1,509,294 1,489,751 1,489,751
line 9
Operating surplus, net
2023 -29,907 -12,714 -12,714
line 10
Taxes on production and imports, receivable
2023 1,718,872 1,648,638 1,648,638
line 11
Subsidies (paid)
2023 -688 -668 -668
line 12
Property income (received)
. . . .
line 13
Interest
2023 72,265 69,440 69,440
line 14
Distributed income of corporations (dividends)
2023 6,928 6,563 6,563
line 15
Rents on land and natural resources
2023 18,493 17,620 17,620
line 16
Less: Uses of property income (interest paid)
. . . .
line 17
Net national income/Balance of primary incomes, net
2023 1,509,294 1,489,751 1,489,751
line 18
Plus: Current taxes on income, wealth, etc. (received)
2023 757,751 800,883 800,883
line 19
Plus: Social benefits (received)
2023 21,321 22,754 22,754
line 20
Less: Social contributions (paid)
2023 1,081,193 1,028,302 1,028,302
line 21
Plus: Other current transfers (received)
2023 1,135,032 1,136,903 1,136,903
line 22
Less: Other current transfers (paid)
2023 0 0 0
line 23
Equals: Disposable income, net
2023 2,342,205 2,421,988 2,421,988
line 24
Less: Final consumption expenditures
2023 2,403,775 2,333,664 2,333,664
line 25
Equals: Net saving
. . . .
Capital account
line 26
Net saving less capital transfers
. . . .
line 27
Net saving
. . . .
line 28
Less: Capital transfers paid (net)
2023 -96,295 -229,889 -229,889
line 29
Capital formation, net
2023 161,075 118,337 118,337
line 30
Gross fixed capital formation (acquisition of produced nonfinancial assets)
2023 544,121 479,066 479,066
line 31
Less: Consumption of fixed capital
2023 398,648 375,732 375,732
line 32
Acquisition of nonproduced nonfinancial assets
2023 15,602 15,003 15,003
line 33
Net lending (+) or borrowing (-), capital account (lines 26-29)
. . . .
Financial account
line 34
Net lending (+) or borrowing (-) (line 33)
. . . .
line 35
Net acquisition of financial assets
2023 269,749 493,197 493,197
line 36
Currency and deposits
2023 18,953 2,335 2,335
line 37
Currency and transferable deposits
2023 15,144 14,695 14,695
line 38
Time and savings deposits
. . . .
line 39
Debt securities
2023 215,062 355,958 355,958
line 40
Open market paper
2023 23,914 5,166 5,166
line 41
Treasury securities
. . . .
line 42
Agency- and GSE-backed securities
2023 19,552 39,246 39,246
line 43
Municipal securities
2023 3,373 6,389 6,389
line 44
Corporate and foreign bonds
2023 6,386 51,116 51,116
line 45
Loans
2023 26,696 -4,146 -4,146
line 46
Short term
2023 22,735 4,911 4,911
line 47
Long term (mortgages)
2023 12,323 748 748
line 48
Equity and investment fund shares
2023 -14,401 58,909 58,909
line 49
Money market fund shares
2023 6,760 9,761 9,761
line 50
Corporate equities
2023 -17,961 32,519 32,519
line 51
Mutual fund shares
2023 -3,200 16,629 16,629
line 52
Other accounts receivable
2023 23,439 80,141 80,141
line 53
Trade receivables
2023 -1,577 34,364 34,364
line 54
Taxes receivable
2023 9,628 41,248 41,248
line 55
Other (miscellaneous assets)
2023 15,388 4,529 4,529
line 56
Net incurrence of liabilities
2023 350,948 265,785 265,785
line 57
Debt securities (municipals)
2023 21,445 -51,147 -51,147
line 58
Short term
2023 1,434 -7,465 -7,465
line 59
Other
2023 20,011 -43,682 -43,682
line 60
Loans (short term)
2023 985 721 721
line 61
Insurance, pension and standardized guarantee schemes (claim of pension funds on sponsor)
2023 260,244 250,512 250,512
line 62
Other accounts payable (trade payables)
2023 68,274 65,699 65,699
Addendum:
line 63
Net lending (+) or borrowing (-), financial account (lines 35-56)
2023 -81,199 227,412 227,412
Other changes in volume account
line 64
Total other volume changes
2023 -15,043 758,159 758,159
line 65
Disaster losses
2023 0 -3,000 -3,000
line 66
Other volume changes
2023 -60,194 733,624 733,624
line 67
Less: Statistical discrepancy (lines 33-63)
2023 -45,151 -27,535 -27,535
Revaluation account
line 68
Nonfinancial assets
2023 246,901 1,574,294 1,574,294
line 69
Structures
2023 237,580 1,550,199 1,550,199
line 70
Equipment
2023 5,994 20,291 20,291
line 71
Intellectual property products
2023 3,328 3,804 3,804
line 72
Financial assets (equity and investment fund shares)
2023 46,121 -43,756 -43,756
line 73
Liabilities (claim of pension funds on sponsor)
2023 -491,843 556,042 556,042
line 74
Changes in net worth due to nominal holding gains/losses
2023 784,865 974,496 974,496
Changes in balance sheet account
line 75
Change in net worth (lines 29+33+64+74)
2023 804,547 2,050,868 2,050,868
Balance sheet account (end of period)
line 76
Total assets
2023 21,230,737 20,464,538 20,464,538
line 77
Nonfinancial assets
2023 16,241,681 15,849,317 15,849,317
line 78
Structures
2023 15,726,798 15,356,749 15,356,749
line 79
Equipment
2023 315,182 303,680 303,680
line 80
Intellectual property products
2023 199,701 188,888 188,888
line 81
Financial assets
2023 4,989,056 4,615,221 4,615,221
line 82
Currency and deposits
2023 749,880 730,927 730,927
line 83
Currency and transferable deposits
2023 375,570 360,426 360,426
line 84
Time and savings deposits
. . . .
line 85
Debt securities
2023 2,573,328 2,300,611 2,300,611
line 86
Open market paper
2023 239,734 215,820 215,820
line 87
Treasury securities
. . . .
line 88
Agency- and GSE-backed securities
2023 443,716 414,216 414,216
line 89
Municipal securities
2023 49,423 44,493 44,493
line 90
Corporate and foreign bonds
2023 313,420 292,206 292,206
line 91
Loans
2023 552,301 525,694 525,694
line 92
Short term
2023 227,916 205,181 205,181
line 93
Long term (mortgages)
2023 232,849 220,615 220,615
line 94
Equity and investment fund shares
2023 322,254 290,534 290,534
line 95
Money market fund shares
2023 72,034 65,274 65,274
line 96
Corporate equities
2023 160,001 144,041 144,041
line 97
Mutual fund shares
2023 90,219 81,219 81,219
line 98
Other accounts receivable
2023 791,293 767,455 767,455
line 99
Trade receivables
2023 308,312 309,889 309,889
line 100
Taxes receivable
2023 278,344 268,317 268,317
line 101
Other (miscellaneous assets)
2023 204,637 189,249 189,249
line 102
Total liabilities and net worth
2023 21,230,737 20,464,538 20,464,538
line 103
Liabilities
2023 7,753,383 7,791,731 7,791,731
line 104
Debt securities (municipals)
2023 3,241,576 3,220,131 3,220,131
line 105
Short term
2023 26,888 25,454 25,454
line 106
Other
2023 3,214,688 3,194,677 3,194,677
line 107
Loans (short term)
2023 24,268 23,283 23,283
line 108
Insurance, pension and standardized guarantee schemes (claim of pension funds on sponsor)
2023 3,190,222 3,319,274 3,319,274
line 109
Other accounts payable (trade payables)
2023 1,297,317 1,229,043 1,229,043
line 110
Net worth
2023 13,477,354 12,672,807 12,672,807
   

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