Table 1b—Unified Budget Effects
Year
Net Purchase or
Sale (negative)
of Equities1
Balancing
Tax Rate &
Estate Tax
(2010 only)
Other
Changes
in OASDI
Cash Flow
Change
in Annual
Unified Budget
Cash Flow
Change
in Debt
Held by
Public
(EOY)
Change
in Annual
Unified Budget
Balance
(Billions of Dollars, Present Value on 1-1-04  See Note Below)
2005
   
0.0
0.0
0.0
0.0
2006
18.1
0.0
1.7
-16.4
16.8
-16.8
2007
19.3
0.0
4.5
-14.8
32.0
-16.1
2008
20.5
0.0
7.1
-13.4
45.8
-15.4
2009
21.4
0.0
9.8
-11.6
57.8
-14.3
2010
23.3
18.0
13.4
8.0
49.5
5.2
2011
24.6
0.0
17.0
-7.6
57.4
-10.5
2012
25.4
0.0
20.4
-4.9
62.4
-8.1
2013
25.9
0.0
23.6
-2.2
64.7
-5.6
2014
26.1
0.0
26.4
0.3
64.5
-3.2
2015
26.1
0.0
28.9
2.8
61.6
-0.6
2016
25.7
0.0
31.3
5.6
55.8
2.4
2017
25.0
0.0
33.4
8.4
47.2
5.6
2018
24.1
0.0
35.2
11.2
35.7
8.9
2019
22.7
0.0
37.0
14.3
21.0
12.7
2020
21.0
0.0
38.5
17.5
3.0
16.9
2021
19.1
0.0
39.9
20.8
-18.4
21.2
2022
17.0
0.0
41.2
24.2
-43.3
25.9
2023
21.9
38.5
42.3
58.9
-103.9
63.0
2024
20.1
38.0
43.3
61.3
-166.9
68.8
2025
18.1
37.5
44.1
63.5
-232.3
74.6
2026
-15.8
37.0
44.8
97.6
-332.8
113.4
2027
-17.5
36.5
45.5
99.5
-435.1
120.8
2028
-18.9
36.0
46.1
100.9
-539.0
128.1
2029
-20.0
35.5
46.5
102.1
-644.0
135.0
2030
-21.1
35.0
46.8
102.9
-749.9
141.7
2031
-22.0
34.6
47.0
103.5
-856.5
148.2
2032
-22.7
34.1
47.2
104.0
-963.5
154.6
2033
-23.2
33.7
47.4
104.3
-1,070.8
160.8
2034
-23.5
33.2
47.5
104.2
-1,178.0
166.7
2035
-23.7
32.8
47.4
103.9
-1,284.9
172.3
2036
-23.8
32.3
47.2
103.3
-1,391.2
177.7
2037
-23.8
31.9
47.1
102.7
-1,496.9
183.0
2038
-23.6
31.5
46.9
102.0
-1,601.9
188.1
2039
-23.4
31.1
46.6
101.2
-1,705.9
193.1
2040
-23.3
30.6
46.0
99.9
-1,808.8
197.6
2041
-23.2
30.2
45.3
98.7
-1,910.3
202.0
2042
-23.0
29.8
44.6
97.4
-2,010.6
206.4
2043
-22.9
29.4
44.0
96.3
-2,109.6
210.8
2044
-22.8
28.9
42.9
94.7
-2,207.0
214.6
2045
-22.9
28.5
41.5
92.8
-2,302.6
218.2
2046
-22.9
28.0
40.1
91.0
-2,396.2
221.6
2047
-22.9
27.6
38.8
89.3
-2,488.1
225.0
2048
-22.9
27.1
37.5
87.6
-2,578.2
228.4
2049
-23.0
26.7
36.2
85.9
-2,666.6
231.7
2050
-23.1
26.3
34.9
84.2
-2,753.3
234.8
2051
-23.2
25.8
33.5
82.5
-2,838.2
237.9
2052
-23.3
25.4
32.2
81.0
-2,921.5
241.0
2053
-23.5
25.0
31.1
79.5
-3,003.3
244.2
2054
-23.6
24.6
29.9
78.0
-3,083.6
247.2
2055
-23.7
24.2
28.7
76.6
-3,162.4
250.2
2056
-23.8
23.8
27.5
75.2
-3,239.8
253.1
2057
-24.0
23.4
26.5
73.8
-3,315.7
256.0
2058
-24.0
23.0
25.5
72.5
-3,390.3
258.8
2059
-24.1
22.6
24.5
71.2
-3,463.6
261.6
2060
-24.1
22.2
23.5
69.9
-3,535.5
264.4
2061
-24.2
21.9
22.6
68.6
-3,606.1
267.1
2062
-24.2
21.5
21.7
67.4
-3,675.5
269.8
2063
-24.2
21.2
20.9
66.3
-3,743.7
272.5
2064
-24.2
20.8
20.1
65.1
-3,810.7
275.1
2065
-24.2
20.5
19.4
64.0
-3,876.6
277.7
2066
-24.1
20.1
18.7
62.9
-3,941.4
280.2
2067
-24.1
19.8
18.0
61.9
-4,005.1
282.7
2068
-24.0
19.5
17.4
60.8
-4,067.7
285.2
2069
-23.9
19.2
16.8
59.8
-4,129.2
287.6
2070
-23.8
18.8
16.2
58.8
-4,189.7
290.0
2071
-23.6
18.5
15.7
57.8
-4,249.3
292.3
2072
-23.5
18.2
15.2
56.9
-4,307.8
294.7
2073
-23.3
17.9
14.7
55.9
-4,365.3
296.9
2074
-23.2
17.6
14.2
55.0
-4,421.9
299.2
2075
-23.0
17.3
13.8
54.1
-4,477.6
301.4
2076
-22.8
17.0
13.4
53.2
-4,532.4
303.6
2077
-22.7
16.8
13.0
52.4
-4,586.3
305.8
2078
-22.5
16.5
12.6
51.5
-4,639.3
307.9
2079
-22.3
16.2
12.2
50.7
-4,691.5
310.0

1Reinvestment of dividends is not included in net purchase.

Note: Present Value discount at Treasury Bond yield
Based on Intermediate Assumptions of the 2004 Trustees Report
With Ultimate Real Trust Fund Yield Rate of 3.7
With Ultimate Real Treasury Bond Yield Rate of 3.0

Office of the Chief Actuary
Social Security Administration
April 13, 2005

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