Current Table

PROPERTY/CASUALTY INSURER FINANCIAL ASSET DISTRIBUTION, 2007-2011

($ billions)

  2007 2008 2009 2010 2011
Total financial assets $1,385.8 $1,305.5 $1,384.5 $1,404.4 $1,434.4
Checkable deposits and currency 42.7 27.9 27.6 32.6 24.1
Money market fund shares 20.7 32.8 29.6 25.6 24.6
Security repurchase agreements (1) 3.6 4.4 4.5 3.8 1.8
Credit market instruments 869.3 853.4 886.7 890.6 918.1
     Open market paper 13.3 19.1 9.8 7.9 5.5
     U.S. government securities 197.1 179.9 204.7 207.5 215.8
          Treasury 71.3 65.6 88.5 91.7 93.6
          Agency- and GSE (2)-backed securities 125.8 114.3 116.2 115.8 122.2
     Municipal securities 371.3 381.9 369.4 348.4 331.0
     Corporate and foreign bonds 282.9 267.5 298.3 322.6 361.0
     Commercial mortgages 4.8 5.0 4.4 4.1 4.9
Corporate equities 236.2 193.3 219.8 219.2 224.4
Mutual fund shares 6.8 4.4 5.3 5.7 5.5
Trade receivables 85.4 86.7 83.0 83.8 87.2
Miscellaneous assets 121.1 102.6 128.0 143.1 148.7

(1) Short-term agreements to sell and repurchase government securities by a specified date at a set price.
(2) Government-sponsored enterprise.

Source: Board of Governors of the Federal Reserve System, June 7, 2012.

 
PROPERTY/CASUALTY INSURER FINANCIAL ASSET DISTRIBUTION, 2004-2008

($ billions)

    2004 2005 2006 2007 2008
Total financial assets $1,156.5 $1,239.6 $1,329.3 $1,358.8 $1,299.2
Checkable deposits and currency 25.9 21.0 29.9 42.7 27.9
Security repurchase agreements (1) 63.1 68.9 66.0 53.8 67.1
Credit market instruments 698.8 765.8 813.5 839.8 820.8
     U.S. government securities 183.4 187.1 197.8 180.9 166.7
          Treasury 71.3 69.2 75.8 55.1 53.8
          Agency- and GSE (2)-backed securities 112.1 117.9 122.0 125.8 112.9
     Municipal securities 267.8 313.2 335.2 371.3 372.8
     Corporate and foreign bonds 245.3 262.8 277.0 282.9 276.4
     Commercial mortgages 2.4 2.7 3.5 4.8 5.0
Corporate equities 196.6 199.5 227.0 236.2 193.2
Mutual fund shares 5.2 5.7 6.9 6.8 4.5
Trade receivables 79.6 82.1 87.0 85.4 86.7
Miscellaneous assets 87.3 96.5 99.0 94.0 99.0

(1) Short-term agreements to sell and repurchase government securities by a specified date at a set price.
(2) Government-sponsored enterprise. 

Source: Board of Governors of the Federal Reserve System, June 11, 2009.

 
PROPERTY/CASUALTY INSURER FINANCIAL ASSET DISTRIBUTION, 2005-2009

($ billions)

    2005 2006 2007 2008 2009
Total financial assets  $1,245.0  $1,334.6  $1,381.0  $1,303.2  $1,369.3
Checkable deposits and currency 21.0 29.9 42.7 27.9 27.6
Money market fund shares 12.8 13.5 20.7 32.8 29.1
Security repurchase agreements (1) 1.4 0.7 3.1 2.0 0.0
Credit market instruments 819.3 864.1 869.3 853.4 887.5
     Open market paper 15.8 16.4 13.3 19.1 17.0
     U.S. government securities 224.8 232.0 197.1 179.9 198.4
          Treasury 106.9 110.0 71.3 65.6 82.2
          Agency- and GSE (2)-backed securities 117.9 122.0 125.8 114.3 116.2
     Municipal securities 313.2 335.2 371.3 381.9 369.4
     Corporate and foreign bonds 262.8 277.0 282.9 267.5 298.3
     Commercial mortgages 2.7 3.5 4.8 5.0 4.4
Corporate equities 199.5 227.0 236.2 193.3 219.8
Mutual fund shares 5.7 6.9 6.8 4.4 5.3
Trade receivables 82.1 87.0 85.4 86.7 83.0
Miscellaneous assets 103.3 105.5 116.8 102.6 117.0

(1) Short-term agreements to sell and repurchase government securities by a specified date at a set price.
(2) Government-sponsored enterprise.

Source: Board of Governors of the Federal Reserve System, June 10, 2010.

 
PROPERTY/CASUALTY INSURER FINANCIAL ASSET DISTRIBUTION, 2006-2010

($ billions)

  2006 2007 2008 2009 2010
Total financial assets $1,335.8 $1,385.8 $1,309.4 $1,387.6 $1,403.9
Checkable deposits and currency 29.9 42.7 27.9 27.6 32.6
Money market fund shares 13.5 20.7 32.8 29.6 25.6
Security repurchase agreements (1) 1.9 3.6 4.4 4.5 3.8
Credit market instruments 864.1 869.3 853.4 886.7 890.6
     Open market paper   16.4 13.3 19.1 9.8 7.9
     U.S. government securities 232.0 197.1 179.9 204.7 207.5
          Treasury 110.0 71.3 65.6 88.5 91.7
          Agency- and GSE (2)-backed securities   122.0 125.8 114.3 116.2 115.8
     Municipal securities   335.2 371.3 381.9 369.4 348.4
     Corporate and foreign bonds   277.0 282.9 267.5 298.3 322.6
     Commercial mortgages   3.5 4.8 5.0 4.4 4.1
Corporate equities 227.0 236.2 193.3 219.8 219.2
Mutual fund shares 6.9 6.8 4.4 5.3 5.7
Trade receivables 87.0 85.4 86.7 83.0 83.8
Miscellaneous assets 105.5 121.1 106.6 131.1 142.6

(1) Short-term agreements to sell and repurchase government by a specified date at a set price.
(2) Government-sponsored enterprise.

Source: Board of Governors of the Federal Reserve System, June 9, 2011.