Federal Reserve Economic Data

Annual Tables

S.9.a Rest of the World

   

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    1945    
 
 
    2023
Millions of Dollars
Line Name Period Value Preceding
Period
Year Ago
from Period
Current account
line 1
Foreign income from U.S.
. . . .
line 2
U.S. imports of goods and services
2023 3,849,811 3,976,314 3,976,314
line 3
U.S. income payments to rest of world
. . . .
line 4
Current taxes and trans. payments to rest of world
2023 421,238 405,809 405,809
line 5
Less: Foreign outlays to U.S.
. . . .
line 6
U.S. exports of goods and services
2023 3,052,469 3,017,379 3,017,379
line 7
U.S. income receipts from rest of world
. . . .
line 8
Current taxes and trans. receipts from rest of world
2023 202,651 194,534 194,534
line 9
Equals: Net saving (current external balance)
2023 915,885 1,020,938 1,020,938
Capital account
line 10
Net saving
2023 915,885 1,020,938 1,020,938
line 11
Less: Net capital transfers
2023 -6,658 -675 -675
line 12
Less: Acquisition of nonproduced nonfinancial assets
2023 -177 -181 -181
line 13
Net lending (+) or borrowing (-), capital account (lines 10-11-12)
2023 922,720 1,021,793 1,021,793
Financial account
line 14
Net lending (+) or borrowing (-) (line 13)
2023 922,720 1,021,793 1,021,793
line 15
Net acquisition of U.S. financial assets
2023 2,098,846 1,413,440 1,413,440
line 16
Monetary gold and SDRs
2023 0 0 0
line 17
Monetary gold
2023 0 0 0
line 18
SDR allocations
2023 0 0 0
line 19
Currency and deposits
2023 226,721 200,949 200,949
line 20
Currency
2023 16,597 35,044 35,044
line 21
Transferable deposits
2023 2,696 -20,306 -20,306
line 22
Time deposits
2023 6,113 -9,843 -9,843
line 23
Net interbank items due from U.S. banks
2023 201,315 196,054 196,054
line 24
Debt securities
2023 1,098,239 720,263 720,263
line 25
Open market paper
2023 23,862 53,840 53,840
line 26
Treasury securities
2023 611,285 392,853 392,853
line 27
Agency- and GSE-backed securities
2023 146,867 165,255 165,255
line 28
Municipal securities
2023 6,380 2,701 2,701
line 29
Corporate bonds
2023 309,845 105,614 105,614
line 30
Loans (short term)
2023 166,788 84,612 84,612
line 31
Security repurchases
2023 204,003 -8,669 -8,669
line 32
Loans to U.S. corporate business
2023 1,368 45,185 45,185
line 33
Equity and investment fund shares
2023 439,296 336,057 336,057
line 34
Money market fund shares
2023 9,328 9,203 9,203
line 35
Corporate equities
2023 146,779 -127,161 -127,161
line 36
Mutual fund shares
2023 -23,093 120,544 120,544
line 37
Foreign direct investment in the United States
2023 288,684 352,859 352,859
line 38
Insurance, pension and standardized guarantee schemes
2023 2,360 2,169 2,169
line 39
Insurance receivables due from property-casualty insurance companies
2023 2,179 1,541 1,541
line 40
Life insurance reserves
2023 143 108 108
line 41
Pension entitlements
2023 38 520 520
line 42
Other accounts receivable
2023 116,270 44,372 44,372
line 43
Net incurrence of liabilities
2023 844,637 397,849 397,849
line 44
SDR holdings
2023 4,624 4,965 4,965
line 45
Currency and deposits
2023 51,511 49,025 49,025
line 46
Official foreign currencies
2023 349 28 28
line 47
Reserve position in IMF (net)
2023 -4,930 821 821
line 48
U.S. private deposits
2023 8,315 48,127 48,127
line 49
Nonofficial foreign currencies
2023 0 0 0
line 50
Debt securities
2023 64,223 172,248 172,248
line 51
Commercial paper
2023 -18,330 -89,853 -89,853
line 52
Bonds
2023 82,553 262,101 262,101
line 53
Loans (short term)
2023 564,541 122,007 122,007
line 54
Security repurchases
2023 469,278 -12,430 -12,430
line 55
Other loans and advances
2023 2,798 20,197 20,197
line 56
Depository institution loans n.e.c.
2023 92,466 114,240 114,240
line 57
Nonoff. foreign currencies (swap lines)
2023 945 -2,928 -2,928
line 58
Equity and investment fund shares
2023 357,112 540,786 540,786
line 59
Corporate equities
2023 -4,691 159,464 159,464
line 60
U.S. government equity in IBRD, etc.
2023 1,848 2,370 2,370
line 61
U.S. direct investment abroad
2023 393,984 332,387 332,387
line 62
Investment by holding companies
2023 726 8,739 8,739
line 63
Insurance, pension and standardized guarantee schemes
2023 119,496 89,614 89,614
line 64
Other accounts payable
2023 5,487 -2,184 -2,184
Addendum:
line 65
Net lending (+) or borrowing (-), financial account (lines 15-43)
2023 897,097 474,805 474,805
Other changes in volume account
line 66
Total other volume changes
2023 -18,096 -558,020 -558,020
line 67
Other volume changes
2023 7,526 -11,032 -11,032
line 68
Less: Statistical discrepancy (lines 13-65)
2023 25,622 546,988 546,988
Revaluation account
line 69
Financial assets
2023 4,954,497 -8,042,074 -8,042,074
line 70
Monetary gold and SDRs
2023 1,244 -7,897 -7,897
line 71
Currency and deposits
2023 -44 3,947 3,947
line 72
Debt securities
2023 296,162 -1,905,076 -1,905,076
line 73
Open market paper
2023 -273 -834 -834
line 74
Treasury securities
2023 99,859 -842,233 -842,233
line 75
Agency- and GSE-backed securities
2023 -52,744 -186,239 -186,239
line 76
Corporate bonds
2023 245,775 -861,341 -861,341
line 77
Equity and investment fund shares
2023 4,665,768 -6,104,292 -6,104,292
line 78
Corporate equities
2023 2,298,569 -2,846,926 -2,846,926
line 79
Mutual fund shares
2023 161,454 -226,967 -226,967
line 80
Foreign direct investment in the United States
2023 -12,757 4,214 4,214
line 81
Other accounts receivable
2023 -3,863 -303 -303
line 82
Liabilities
2023 2,301,265 -4,746,134 -4,746,134
line 83
SDR holdings
2023 1,337 -8,057 -8,057
line 84
Currency and deposits
2023 1,085 -2,657 -2,657
line 85
Official foreign currencies
2023 -306 -3,558 -3,558
line 86
Reserve position in IMF (net)
2023 256 -1,683 -1,683
line 87
U.S. private deposits
2023 550 -1,038 -1,038
line 88
Nonofficial foreign currencies
2023 0 0 0
line 89
Debt securities (corporate bonds)
2023 136,787 -682,933 -682,933
line 90
Loans (other loans and advances)
2023 0 0 0
line 91
Equity and investment fund shares
2023 2,175,920 -4,093,363 -4,093,363
line 92
Corporate equities
2023 1,183,710 -1,947,169 -1,947,169
line 93
U.S. direct investment abroad
2023 -6,950 -101,904 -101,904
line 94
Insurance, pension and standardized guarantee schemes
2023 8 -5 -5
line 95
Other accounts payable
2023 46 -195 -195
line 96
Changes in net worth due to nominal holding gains/losses
2023 2,653,232 -3,295,940 -3,295,940
Changes in balance sheet account
line 97
Change in net worth (lines 13+66+96)
2023 3,557,855 -2,832,167 -2,832,167
Financial balance sheet account (end of period)
line 98
Total financial assets
2023 49,370,411 42,402,735 42,402,735
line 99
SDR allocations
2023 154,107 152,863 152,863
line 100
Currency and deposits
2023 3,890,573 3,666,444 3,666,444
line 101
Currency
2023 1,046,530 1,029,933 1,029,933
line 102
Transferable deposits
2023 197,016 194,320 194,320
line 103
Time deposits
2023 687,179 683,658 683,658
line 104
Net interbank items due from U.S. banks
2023 1,959,848 1,758,533 1,758,533
line 105
Debt securities
2023 13,776,263 12,481,493 12,481,493
line 106
Open market paper
2023 123,395 191,306 191,306
line 107
Treasury securities
2023 7,946,509 7,294,065 7,294,065
line 108
Agency- and GSE-backed securities
2023 1,352,447 1,232,915 1,232,915
line 109
Municipal securities
2023 116,862 106,937 106,937
line 110
Corporate bonds
2023 4,237,050 3,656,270 3,656,270
line 111
Loans (short term)
2023 2,398,632 2,231,844 2,231,844
line 112
Security repurchases
2023 1,305,357 1,101,354 1,101,354
line 113
Loans to U.S. corporate business
2023 1,072,680 1,071,312 1,071,312
line 114
Equity and investment fund shares
2023 27,715,465 22,593,889 22,593,889
line 115
Money market fund shares
2023 183,031 173,703 173,703
line 116
Corporate equities
2023 13,333,700 10,871,840 10,871,840
line 117
Mutual fund shares
2023 1,219,788 1,081,427 1,081,427
line 118
Foreign direct investment in the United States
. . . .
line 119
Insurance, pension and standardized guarantee schemes
2023 70,543 68,183 68,183
line 120
Insurance receivables due from property-casualty insurance companies
2023 68,824 66,645 66,645
line 121
Life insurance reserves
2023 422 279 279
line 122
Pension entitlements
2023 1,297 1,259 1,259
line 123
Other accounts receivable
2023 667,527 555,120 555,120
line 124
Total liabilities and net worth
2023 49,370,411 42,402,735 42,402,735
line 125
Total liabilities
2023 30,660,392 27,250,571 27,250,571
line 126
SDR holdings
2023 166,498 160,537 160,537
line 127
Currency and deposits
2023 2,345,879 2,293,272 2,293,272
line 128
Official foreign currencies
2023 37,155 37,112 37,112
line 129
Reserve position in IMF (net)
2023 30,296 34,970 34,970
line 130
U.S. private deposits
2023 910,337 901,461 901,461
line 131
Nonofficial foreign currencies
2023 2,626 2,626 2,626
line 132
Debt securities
2023 3,812,051 3,728,089 3,728,089
line 133
Commercial paper
2023 318,965 331,845 331,845
line 134
Bonds
2023 3,493,086 3,396,244 3,396,244
line 135
Loans (short term)
2023 2,616,630 2,052,088 2,052,088
line 136
Security repurchases
2023 1,630,029 1,160,751 1,160,751
line 137
Other loans and advances
2023 31,463 28,665 28,665
line 138
Depository institution loans n.e.c.
2023 955,138 862,672 862,672
line 139
Nonoff. foreign currencies (swap lines)
2023 1,357 412 412
line 140
Equity and investment fund shares
2023 20,852,214 18,295,338 18,295,338
line 141
Corporate equities
2023 11,482,589 10,279,726 10,279,726
line 142
U.S. government equity in IBRD, etc.
2023 74,730 72,882 72,882
line 143
U.S. direct investment abroad
. . . .
line 144
Investment by holding companies
2023 158,400 157,674 157,674
line 145
Insurance, pension and standardized guarantee schemes
2023 690,038 570,534 570,534
line 146
Other accounts payable
2023 87,956 82,423 82,423
line 147
Net worth (external account)
2023 18,710,019 15,152,164 15,152,164
   

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