Slovak Republic - Balance of Payments - January to December 2009
Revision October 2011
Slovak Republic - Balance of Payments - January to December 2009 [.xls, 35.5 kB]
| |
Receipts / Credit ( + ) |
Expenditures / Debit ( - ) |
Balance |
| mil. EUR |
mil. EUR |
mil. EUR |
| GOODS |
39,721.2 |
38,775.1 |
946.1 |
| SERVICES |
4,341.7 |
5,367.8 |
-1,026.2 |
| Transportation |
1,345.0 |
1,249.9 |
95.1 |
| Travel |
1,674.5 |
1,504.1 |
170.4 |
| Other services total |
1,322.2 |
2,613.8 |
-1,291.6 |
| INCOME |
2,267.4 |
3,137.8 |
-870.4 |
| Compensation of employees |
1,200.0 |
100.3 |
1,099.7 |
| Investment income |
1,067.4 |
3,037.5 |
-1,970.1 |
| CURRENT TRANSFERS |
1,351.3 |
2,027.5 |
-676.2 |
| CURRENT ACCOUNT |
47,681.6 |
49,308.3 |
-1,626.7 |
| CAPITAL ACCOUNT |
524.4 |
60.5 |
463.9 |
| FINANCIAL ACCOUNT |
181,374.3 |
-179,313.9 |
2,060.4 |
| DIRECT INVESTMENT |
59,643.0 |
-60,298.5 |
-655.5 |
| Abroad |
1,827.8 |
-2,478.8 |
-651.1 |
| Equity capital |
530.1 |
-859.4 |
-329.3 |
| Reinvested earnings |
0.0 |
-252.2 |
-252.2 |
| Other capital |
1,297.7 |
-1,367.3 |
-69.6 |
| In SR |
57,815.2 |
-57,819.7 |
-4.5 |
| Equity capital |
2,302.2 |
-846.6 |
1,455.7 |
| Reinvested earnings |
51.5 |
0.0 |
51.5 |
| Other capital |
55,461.5 |
-56,973.1 |
-1,511.6 |
| PORTFOLIO INVESTMENT |
16,461.1 |
-18,233.9 |
-1,772.8 |
| Assets |
5,316.4 |
-8,088.5 |
-2,772.1 |
| Liabilities |
11,144.7 |
-10,145.4 |
999.3 |
| FINANCIAL DERIVATES |
24,830.4 |
-24,564.0 |
266.4 |
| Assets |
13,423.4 |
-12,991.8 |
431.6 |
| Liabilities |
11,407.0 |
-11,572.1 |
-165.2 |
| OTHER INVESTMENT |
80,439.8 |
-76,217.5 |
4,222.3 |
| Long-term |
3,240.9 |
-4,005.3 |
-764.3 |
| Assets |
837.2 |
-1,695.6 |
-858.4 |
| Liabilities |
2,403.7 |
-2,309.6 |
94.1 |
| Short-term |
77,198.9 |
-72,212.3 |
4,986.6 |
| Assets |
40,666.6 |
-42,717.6 |
-2,051.0 |
| Liabilities |
36,532.3 |
-29,494.7 |
7,037.6 |
| CAPITAL AND FINANCIAL ACCOUNT |
181,898.7 |
-179,374.4 |
2,524.3 |
| ERRORS AND OMISSIONS |
|
|
-1,464.2 |
| OVERALL BALANCE |
-583.5 |
16.9 |
-566.6 |
| MONETARY GOLD |
0.0 |
0.0 |
0.0 |
| SPECIAL DRAWING RIGHTS |
0.0 |
0.0 |
0.0 |
| FOREIGN EXCHANGE |
583.5 |
0.0 |
583.5 |
| Currency and deposit |
95.4 |
0.0 |
95.4 |
| Securities |
488.1 |
0.0 |
488.1 |
| Bonds and notes |
459.6 |
0.0 |
459.6 |
| Money market instr. and financial derivates |
28.5 |
0.0 |
28.5 |
| RESERVE POSITION IN THE IMF |
0.0 |
-16.9 |
-16.9 |
| RESERVE ASSETS |
583.5 |
-16.9 |
566.6 |