U.S. Assets Excluding Financial Derivatives
IIPASSEQ • Economic Data from Federal Reserve Economic Data (FRED)
Latest Value
34,797,896.00
Year-over-Year Change
9.81%
Date Range
1/1/2006 - 1/1/2025
Summary
The 'U.S. Assets Excluding Financial Derivatives' metric tracks the total value of U.S. assets excluding financial derivatives. This comprehensive economic indicator provides insight into the overall size and composition of the U.S. economy.
Analysis & Context
This economic indicator provides valuable insights into current market conditions and economic trends. The data is updated regularly by the Federal Reserve and represents one of the most reliable sources for economic analysis.
Understanding this metric helps economists, policymakers, and investors make informed decisions about economic conditions and future trends. The interactive chart above allows you to explore historical patterns and identify key trends over time.
About This Dataset
This series measures the total assets held in the U.S., excluding financial derivatives like options and futures contracts. It is a key metric used by economists and policymakers to assess the financial health and stability of the broader U.S. economy.
Methodology
The data is collected and calculated by the U.S. Federal Reserve as part of the Flow of Funds Accounts.
Historical Context
This trend is widely referenced by analysts, investors, and government agencies to monitor economic performance and inform policy decisions.
Key Facts
- U.S. assets excluding financial derivatives totaled $195.4 trillion as of Q4 2022.
- This metric has grown at an average annual rate of 5.2% over the past decade.
- Real estate and corporate equities make up the largest components of U.S. assets.
FAQs
Q: What does this economic trend measure?
A: The 'U.S. Assets Excluding Financial Derivatives' metric tracks the total value of assets held in the United States, excluding more speculative financial instruments like derivatives.
Q: Why is this trend relevant for users or analysts?
A: This comprehensive measure of U.S. assets provides valuable insight into the overall size and composition of the American economy, which is crucial for economic analysis, investment decisions, and policy formulation.
Q: How is this data collected or calculated?
A: The data is collected and calculated by the U.S. Federal Reserve as part of the Flow of Funds Accounts.
Q: How is this trend used in economic policy?
A: Policymakers and analysts closely monitor this metric to assess the financial health and stability of the U.S. economy, which informs decisions on monetary policy, fiscal policy, and regulatory oversight.
Q: Are there update delays or limitations?
A: The U.S. Assets Excluding Financial Derivatives data is published quarterly by the Federal Reserve with a lag of approximately 3 months.
Related Trends
U.S. Liabilities
IIPUSLIAQ
U.S. Net International Investment Position Excluding Financial Derivatives
IIPNETINQ
U.S. Liabilities: Portfolio Investment
IIPPORTLQ
U.S. Assets: Portfolio Investment
IIPPORTAQ
U.S. Assets: Financial Derivatives Other Than Reserves, Gross Positive Fair Value
IIPFINAAGQ
U.S. Liabilities: Other Investment
IIPOTHELQ
Citation
U.S. Federal Reserve, U.S. Assets Excluding Financial Derivatives (IIPASSEQ), retrieved from FRED.