L.101 Households and nonprofit organizations1

Billions of dollars; amounts outstanding end of period, not seasonally adjusted

Line Description Series 2023 2024 2025 2024:Q3 2024:Q4 2025:Q1 2025:Q2 2025:Q3 2025:Q4
Line 1 Total financial assets FL154090005 118901.7 130381.3 143865.9 129409.5 130381.3 128913.0 134729.3 141248.6 143865.9
Line 2 Checkable deposits and currency FL153020005 4424.1 4636.3 5934.9 4474.5 4636.3 4897.9 4915.8 4830.2 5934.9
Line 3 Time and savings deposits FL153030005 9836.3 9802.1 9208.9 9742.7 9802.1 9833.6 9832.8 9949.8 9208.9
Line 4 Other deposits LM153030505 50.8 56.6 68.3 57.5 56.6 58.5 61.3 66.3 68.3
Line 5 Money market fund shares FL153034005 4029.5 4709.2 5320.6 4397.7 4709.2 4797.4 4849.4 5038.0 5320.6
Line 6 Debt securities LM154022005 5556.9 5812.9 6147.4 5888.8 5812.9 5811.9 6002.6 6051.6 6147.4
Line 7 Treasury securities LM153061105 2515.4 2626.3 2944.6 2737.2 2626.3 2731.0 2875.7 2889.5 2944.6
Line 8 Agency- and GSE-backed securities LM153061705 972.7 1050.4 948.1 976.0 1050.4 947.7 957.0 926.5 948.1
Line 9 Municipal securities LM153062005 1869.8 1941.1 2060.7 1977.8 1941.1 1938.2 1975.2 2040.7 2060.7
Line 10 Corporate and foreign bonds LM153063005 199.0 195.0 194.0 197.8 195.0 195.0 194.8 194.8 194.0
Line 11 Loans FL154023005 1355.9 1201.2 1245.7 1428.0 1201.2 1249.2 1245.0 1256.4 1245.7
Line 12 Other loans and advances2 FL153069005 1263.4 1115.4 1168.9 1341.6 1115.4 1165.1 1162.3 1176.0 1168.9
Line 13 Mortgages FL153065005 73.9 70.4 64.5 71.5 70.4 69.1 68.0 66.0 64.5
Line 14 Consumer credit (student loans) FL163066223 18.6 15.4 12.4 14.9 15.4 15.1 14.7 14.4 12.4
Line 15 Corporate equities3 LM153064105 32247.7 39055.0 47185.8 38333.2 39055.0 37751.1 41264.5 45740.4 47185.8
Line 16 Miscellaneous other equity LM153081115 15593.4 15837.1 16001.1 15734.4 15837.1 15772.4 15752.1 16015.8 16001.1
Line 17 Mutual fund shares LM153064205 11084.3 12328.8 13680.2 12543.0 12328.8 12056.5 12994.3 13598.4 13680.2
Line 18 Life insurance reserves FL153040005 2060.5 2161.9 2201.2 2150.8 2161.9 2135.8 2169.5 2192.9 2201.2
Line 19 Pension entitlements4 FL153050005 30632.1 32620.7 34591.6 32535.3 32620.7 32359.6 33425.5 34268.6 34591.6
Line 20 Claims of pension fund on sponsor FL593073005 4702.0 4239.0 3433.2 4224.9 4239.0 4521.9 4268.9 3769.7 3433.2
Line 21 Funded pension entitlements FL153050025 25930.1 28381.7 31158.4 28310.4 28381.7 27837.7 29156.5 30498.9 31158.4
Line 22 Trade receivables FL163070005 414.5 451.0 487.1 441.9 451.0 460.1 469.1 478.1 487.1
Line 23 Miscellaneous assets FL153090005 1615.6 1708.5 1793.1 1681.7 1708.5 1729.1 1747.5 1762.0 1793.1
Line 24 Total liabilities FL154190005 20492.9 20845.2 21507.7 20895.9 20845.2 20860.8 21031.9 21269.3 21507.7
Line 25 Debt securities (municipal securities) FL163162003 207.9 216.3 232.5 215.7 216.3 218.3 224.5 227.8 232.5
Line 26 Loans FL154123005 19748.8 20074.6 20702.1 20130.5 20074.6 20080.9 20242.0 20474.6 20702.1
Line 27 One-to-four-family residential mortgages5 FL153165105 13017.1 13381.2 13767.1 13270.2 13381.2 13433.8 13550.6 13667.8 13767.1
Line 28 Consumer credit FL153166000 4988.2 4948.1 5106.6 5027.8 4948.1 4963.4 4996.3 5042.3 5106.6
Line 29 Depository institution loans n.e.c.6 FL153168005 475.3 347.5 234.7 478.9 347.5 277.7 238.8 233.7 234.7
Line 30 Other loans and advances FL153169005 737.9 849.1 1004.3 806.5 849.1 851.8 892.3 953.0 1004.3
Line 31 Commercial mortgages FL163165505 530.3 548.8 589.3 547.1 548.8 554.3 564.1 577.8 589.3
Line 32 Trade payables FL163170005 496.9 514.8 532.0 510.3 514.8 519.1 523.4 527.7 532.0
Line 33 Deferred and unpaid life insurance premiums FL543077073 39.4 39.5 41.1 39.4 39.5 42.4 42.0 39.2 41.1

Notes:

  1. Sector includes domestic hedge funds, private equity funds, and personal trusts. Supplementary balance sheet table B.101.n shows estimates of annual year-end outstandings of nonprofit organizations.
  2. Includes nonmarketable Treasury securities, cash accounts at brokers and dealers, and syndicated loans to nonfinancial corporate business by nonprofits and domestic hedge funds.
  3. Directly held corporate equities, including closed-end fund, exchange-traded fund, and real estate investment trust shares.
  4. Includes public and private defined benefit and defined contribution pension plans and annuities, including those in IRAs and at life insurance companies. Excludes Social Security.
  5. Includes loans made under home equity lines of credit and home equity loans secured by junior liens (table L.218, line 23).
  6. Includes loans extended by the Federal Reserve to financial institutions such as domestic hedge funds through the Term Asset-Backed Securities Loan Facility (TALF I).

Last Update: 2026-03-19