PROPERTY/CASUALTY INSURER FINANCIAL ASSET DISTRIBUTION, 2004-2008
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
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
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.