Table

Non-financial corporations. Income, expenditure and saving. NOK million1
20102011201220132014
1Figures for the last two years are preliminary.
 
Production
Output, basic values3 093 8983 382 9803 587 6353 716 3933 830 214
- Intermediate consumption1 518 8811 656 1981 756 0981 847 1511 935 078
= VALUE ADDED, GROSS1 575 0171 726 7821 831 5371 869 2421 895 136
- Consumption of fixed capital253 814265 740276 433297 155317 564
- Compensation of employees714 502761 680817 599865 380902 522
- Other taxes on production16 43116 97117 49820 74021 491
+ Other subsidies on production29 49830 05531 10332 63832 608
= Operating surplus619 768712 446751 110718 605686 167
 
Allocation of primary income
+ Interest income71 16686 49097 52594 82087 234
+ Dividends received, etc49 72873 656132 577206 962204 602
+ Other investment income30 8577 0316761 3041 972
- Interest expenses146 048165 058176 338167 658167 678
- Dividends paid, etc245 427285 533353 339426 009415 447
- Other investment expenses26 71725 06426 95621 20623 049
 
+ Financial Intermediation Services Indirectly Measured17 01718 50423 76232 81833 062
 
= BALANCE OF PRIMARY INCOME370 344422 472449 017439 636406 863
 
Secondary distribution of income
+ Non life insurance claims19 67722 10022 07223 30022 662
+ Imputed social contributions11 45614 00817 74018 26224 116
+ Other current transfers61 69350 55553 46255 59857 653
- Current taxes on income and wealth243 928293 515284 509246 092200 228
- Current transfers to NPISHs4 0205 2355 2164 7471 224
- Net non-life insuranse premiums21 57723 53323 99925 72324 399
- Unfunded and privately funded social benefits24 11614 00817 74018 26224 116
- Other current transfers69 55361 59965 64464 73466 165
= Disposable income112 636111 245145 183177 238195 162
 
Use of disposable income
= SAVING112 636111 245145 183177 238195 162
 
Capital account
+ Capital transfers, net2 7383 3022 87817 9684 401
- Gross fixed capital formation426 802458 822507 198562 011576 904
+ Consumption of fixed capital253 814265 740276 433297 155317 564
- Aqcusition of non-produced assets2 1502 1702 3031 372919
= Net lending-59 764-80 705-85 007-71 022-60 696