"c VAR 0040 15005 FED PEN 3R 945-962 MD= 1E-37 " "c REF 0040 LOC 321 WIDTH 9 DK 5 COL 71-79 " "c EXP DEC= 1 " "c " "c FEDERAL BUDGET EXPENDITURES, TOTAL " "c ---------------------------------- " "c " "c NBER SERIES: 15005 " "c AREA COVERED: U.S. " "c UNITS: MILLIONS OF DOLLARS " "c ANNUAL COVERAGE: NONE " "c QUARTERLY COVERAGE: NONE " "c MONTHLY COVERAGE: 07/1945-12/1962 " "c SEASONAL ADJUSTMENT: NONE " "c SOURCE: U.S. TREASURY DEPARTMENT, DATA FOR 1945-1953: DAILY " "c TREASURY STATEMENT; DATA FOR 1954-1962: MONTHLY STATEMENT OF " "c RECEIPTS AND EXPENDITURES OF THE UNITED STATES GOVERNMENT " "c " "c NOTES: SERIES 15005 IS PRESENTED HERE AS SIX " "c VARIABLES--(1)--ORIGINAL DATA, 1879-1915 (2)--ORIGINAL DATA, " "c 1914-1933 (3)--ORIGINAL, 1932-1938 (4)--ORIGINAL, 1937-1940 " "c (5)--ORIGINAL, 1939-1947 (6)--ORIGINAL, 1945-1962. " "c IN FEBRUARY 1954, THE DAILY TREASURY STATEMENT " "c DISCONTINUED REPORTING EXPENDITURES. THE NEW MONTHLY REPORT " "c ISSUED BY THE TREASURY DEPARTMENT WAS BASED ON REPORTS FROM " "c COLLECTING AND DISBURSING AGENCIES AND IS CONSIDERED MORE " "c ACCURATE BY THE TREASURY BECAUSE IT ALLOWS"THE NECESSARY " "c TIME FOR UNIFORM REPORTING OF BUDGET RESULTS" (DAILY " "c STATEMENT, FEBRUARY 17, 1954). " "c BEGINNING IN JULY 1960,"NET" BUDGET RECEIPTS (AND " "c "NET" BUDGET EXPENDITURES) EXCLUDE CERTAIN INTERFUND " "c TRANSACTIONS WHICH ARE INCLUDED IN BOTH BUDGET RECEIPTS AND " "c BUDGET EXPENDITURES. THE TRANSACTIONS DEDUCTED ARE MAINLY " "c INTEREST PAYMENTS TO THE TREASURY BY GOVERNMENT CORPORATIONS " "c AND AGENCIES. THIS DOES NOT AFFECT BUDGET SURPLUS OR " "c DEFICIT. THE WORKSHEETS FOR THIS VARIABLE SHOW THE OLD " "c "NET" FIGURES, AFTER JUNE 1960 CALLED "SUBTOTAL RECEIPTS." " "c IT IS BELIEVED THAT THE DATA CAN BE TREATED AS A CONTINUOUS " "c SERIES SINCE DEDUCTIONS ARE VERY SMALL. " "c FROM JANUARY 1962 ON, REFUNDS INCLUDE AMOUNTS " "c APPLICABLE TO TRUST ACCOUNTS FORMERLY INCLUDED IN"TRANSFERS " "c TO TRUST ACCOUNTS", ONE OF THE ITEMS DEDUCTED FROM RECEIPTS " "c TO DERIVE"NET" RECEIPTS. REFUNDS APPLICABLE TO TRUST " "c ACCOUNTS HAVE HERE BEEN ELIMINATED AND THE AMOUNTS OF " "c REFUNDS ADDED BACK INTO NET BUDGET RECEIPTS ARE COMPARABLE " "c THROUGHOUT. " "c " "c CHECKED MANUALLY; NO CORRECTIONS NECESSARY. " "c " "c ............................................................... " -12 1945.01 1962.12 NA NA NA NA NA NA 8821.20 7290.70 6686.50 5695.30 4581.40 5013.30 4860.20 3435.30 3845.00 4268.40 3864.40 5352.30 3643.60 2932.50 2755.00 2964.50 2529.20 3662.30 3113.20 3914.30 3598.30 4000.70 3851.50 5540.00 3669.30 3060.30 2932.10 2445.40 2194.30 3223.90 2873.00 2401.90 3546.00 3090.90 2603.40 4246.20 3698.40 2207.10 2915.20 2723.90 2858.60 3644.40 3025.90 2919.20 4292.80 3638.40 3236.30 4734.30 3491.60 3641.90 4040.70 3160.20 3172.60 3781.00 3389.80 2734.00 3842.20 3364.30 3262.80 4445.30 3079.20 2577.10 3572.70 3232.20 3147.40 3764.90 3849.90 3399.80 4517.50 4520.00 4875.30 6203.40 4826.20 5142.70 5220.00 5523.40 5208.70 5657.10 5506.90 5300.10 6158.90 6628.30 6061.70 7213.30 6893.00 5119.40 6125.30 6433.60 5208.00 7168.30 5791.10 5930.70 7130.80 7325.00 6485.80 8147.30 6172.10 6106.80 6182.00 5551.60 5483.50 6456.50 5282.70 5013.00 6495.00 6202.00 5819.00 7264.50 4912.00 6801.80 5027.30 4896.00 3898.10 6370.10 4989.40 5038.90 6635.10 6102.20 6173.20 7076.20 5652.30 6343.30 5443.40 5375.80 5260.80 5705.20 5325.50 5241.90 6018.90 6284.80 6460.00 7178.00 5665.80 6016.50 4997.00 6090.00 5788.20 5706.60 6147.60 5945.90 6190.20 7117.30 7000.80 6595.70 6485.40 6054.30 5803.90 6620.70 5881.80 5868.70 5986.20 5762.50 6603.90 7799.60 6795.20 6756.90 6759.70 6331.20 6808.10 7256.40 6240.90 7143.80 6750.70 6705.60 7762.20 7839.60 7194.20 8840.00 6724.00 6486.20 6518.60 6997.70 6670.10 6851.80 6183.40 6602.50 7741.10 7377.80 7083.50 7107.60 6338.50 7005.90 6953.90 7001.60 6802.60 6907.40 6534.00 6766.20 8804.30 7745.90 8205.20 8189.60 6499.90 7834.70 6956.50 7957.80 7494.80 7227.10 7326.20 7552.60 9561.00 8706.50 8322.80 8215.50 7417.00 8729.70 7437.30 8723.30 8062.50 7635.80