Table

Non-financial corporations. Income, expenditure and saving. NOK million1
20112012201320142015
1Figures for the final year are preliminary
 
Production
Output, basic values3 382 9803 587 6353 712 1383 831 0333 780 660
- Intermediate consumption1 656 1981 756 0981 836 0841 941 3661 963 026
= VALUE ADDED, GROSS1 726 7821 831 5371 876 0541 889 6671 817 634
- Consumption of fixed capital269 999281 235296 952320 866342 356
- Compensation of employees761 680817 599867 039904 984923 837
- Other taxes on production16 97117 49818 80820 62921 300
+ Other subsidies on production30 05531 10332 25534 60836 354
= Operating surplus708 187746 308725 510677 796566 496
 
Allocation of primary income
+ Interest income86 49097 525103 87678 70152 510
+ Dividends received, etc73 656132 577206 905212 549236 213
+ Other investment income7 0316764 26727 66825 438
- Interest expenses165 058176 338191 238174 586152 155
- Dividends paid, etc285 533353 339428 209439 654455 076
- Other investment expenses25 06426 95624 584-14 599-11 495
 
+ Financial Intermediation Services Indirectly Measured18 50423 76226 48026 57925 917
 
= BALANCE OF PRIMARY INCOME418 213444 215423 007423 652310 837
 
Secondary distribution of income
+ Non life insurance claims22 10022 07223 47323 37924 931
+ Imputed social contributions14 00817 74018 61918 51020 413
+ Other current transfers50 55553 46260 68662 31761 855
- Current taxes on income and wealth293 515286 505238 732195 905138 764
- Current transfers to NPISHs5 2355 2164 8114 0443 708
- Net non-life insuranse premiums23 53323 99926 21125 47127 147
- Unfunded and privately funded social benefits14 00817 74018 61918 51020 413
- Other current transfers61 59965 64464 65368 67468 563
= Disposable income106 986138 385172 759215 254159 440
 
Use of disposable income
= SAVING106 986138 385172 759215 254159 440
 
Capital account
+ Capital transfers, net3 3022 87818 3035 2524 274
- Gross fixed capital formation458 822507 198543 579556 041535 817
+ Consumption of fixed capital269 999281 235296 952320 866342 356
- Aqcusition of non-produced assets2 1702 3033 1681 0763 020
= Net lending-80 705-87 003-58 733-15 745-32 768