Domestic Finance Companies, Securities, Level

This dataset tracks domestic finance companies, securities, level over time.

Latest Value

21070.89

Year-over-Year Change

-64.27%

Date Range

10/1/2010 - 1/1/2025

Summary

This economic trend measures the level of securities held by domestic finance companies in the United States. It provides insights into the financial activities and investment behaviors of these institutions.

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

The Domestic Finance Companies, Securities, Level trend tracks the total value of securities, such as stocks and bonds, owned by finance companies operating within the domestic U.S. economy. This metric is used by economists and policymakers to assess the financial health and investment patterns of the broader finance sector.

Methodology

The data is collected and published by the U.S. Federal Reserve.

Historical Context

This trend is relevant for analyzing the investment strategies and risk profiles of the finance industry, which can have significant implications for broader financial stability and economic policies.

Key Facts

  • The data is reported quarterly.
  • Finance companies held over $4 trillion in securities as of 2022.
  • Securities account for a significant portion of finance companies' total assets.

FAQs

Q: What does this economic trend measure?

A: This trend measures the total level of securities, such as stocks and bonds, held by domestic finance companies in the United States.

Q: Why is this trend relevant for users or analysts?

A: This metric provides insights into the investment behaviors and financial health of the U.S. finance sector, which is crucial for understanding broader economic and financial stability.

Q: How is this data collected or calculated?

A: The data is collected and published by the U.S. Federal Reserve.

Q: How is this trend used in economic policy?

A: Policymakers and analysts use this trend to assess the risk profiles and investment strategies of finance companies, which can inform policies related to financial regulation and stability.

Q: Are there update delays or limitations?

A: The data is reported quarterly, with a typical lag of several months between the reference period and the release of the latest figures.

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Citation

U.S. Federal Reserve, Domestic Finance Companies, Securities, Level (STFAFSNQ), retrieved from FRED.
Economic Data: Domestic Finance Companies, Securities, Level