Data for the period
|
|
Slovak Republic - Balance of Payments - January 2003
|
|
|
Revision February 2007
|
|
Receipts/Credit (+)
|
Expenditures/Debit (-)
|
Balance
|
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
|
GOODS
|
54,549.00
|
1,389.71
|
55,268.00
|
1,408.03
|
-719.00
|
-18.32
|
|
SERVICES
|
10,569.00
|
269.26
|
11,179.90
|
284.82
|
-610.90
|
-15.56
|
|
Transportation
|
4,023.30
|
102.50
|
2,465.20
|
62.80
|
1,558.10
|
39.69
|
|
Travel
|
3,097.00
|
78.90
|
1,934.50
|
49.28
|
1,162.50
|
29.62
|
|
Other services total
|
3,448.70
|
87.86
|
6,780.20
|
172.74
|
-3,331.50
|
-84.87
|
|
INCOME
|
4,032.27
|
102.73
|
9,937.25
|
253.17
|
-5,904.98
|
-150.44
|
|
Compensation of employees
|
2,059.90
|
52.48
|
43.40
|
1.11
|
2,016.50
|
51.37
|
|
Investment income
|
1,972.37
|
50.25
|
9,893.85
|
252.06
|
-7,921.48
|
-201.81
|
|
CURRENT TRANSFERS
|
1,590.30
|
40.52
|
808.40
|
20.60
|
781.90
|
19.92
|
|
CURRENT ACCOUNT
|
70,740.57
|
1,802.22
|
77,193.55
|
1,966.61
|
-6,452.98
|
-164.40
|
|
CAPITAL ACCOUNT
|
68.70
|
1.75
|
277.50
|
7.07
|
-208.80
|
-5.32
|
|
FINANCIAL ACCOUNT
|
223,743.80
|
5,700.19
|
-207,652.50
|
-5,290.24
|
16,091.30
|
409.95
|
|
DIRECT INVESTMENT
|
53,189.00
|
1,355.06
|
-41,487.10
|
-1,056.94
|
11,701.90
|
298.12
|
|
ABROAD
|
3,068.10
|
78.16
|
-6,822.80
|
-173.82
|
-3,754.70
|
-95.66
|
|
Equity capital
|
507.00
|
12.92
|
-11.60
|
-0.30
|
495.40
|
12.62
|
|
Reinvested earnings
|
0.00
|
0.00
|
-106.30
|
-2.71
|
-106.30
|
-2.71
|
|
Other capital
|
2,561.10
|
65.25
|
-6,704.90
|
-170.82
|
-4,143.80
|
-105.57
|
|
In SR
|
50,120.90
|
1,276.90
|
-34,664.30
|
-883.12
|
15,456.60
|
393.78
|
|
Equity capital
|
8,475.00
|
215.91
|
-296.00
|
-7.54
|
8,179.00
|
208.37
|
|
Reinvested earnings
|
4,629.70
|
117.95
|
0.00
|
0.00
|
4,629.70
|
117.95
|
|
Other capital
|
37,016.20
|
943.04
|
-34,368.30
|
-875.58
|
2,647.90
|
67.46
|
|
PORTFOLIO INVESTMENT
|
63,527.50
|
1,618.45
|
-27,332.30
|
-696.33
|
36,195.20
|
922.12
|
|
Assets
|
11,257.90
|
286.81
|
-9,778.30
|
-249.12
|
1,479.60
|
37.69
|
|
Liabilities
|
52,269.60
|
1,331.64
|
-17,554.00
|
-447.21
|
34,715.60
|
884.43
|
|
OTHER INVESTMENT
|
107,027.30
|
2,726.67
|
-138,833.10
|
-3,536.97
|
-31,805.80
|
-810.30
|
|
Long-term
|
12,094.70
|
308.13
|
-11,684.00
|
-297.67
|
410.70
|
10.46
|
|
Assets
|
7,074.70
|
180.24
|
-513.50
|
-13.08
|
6,561.20
|
167.16
|
|
Liabilities
|
5,020.00
|
127.89
|
-11,170.50
|
-284.58
|
-6,150.50
|
-156.69
|
|
Short-term
|
94,932.60
|
2,418.54
|
-127,149.10
|
-3,239.30
|
-32,216.50
|
-820.76
|
|
Assets
|
32,631.00
|
831.32
|
-78,181.50
|
-1,991.78
|
-45,550.50
|
-1,160.46
|
|
Liabilities
|
62,301.60
|
1,587.22
|
-48,967.60
|
-1,247.52
|
13,334.00
|
339.70
|
|
CAPITAL AND FINANCIAL ACCOUNT
|
223,812.50
|
5,701.94
|
-207,930.00
|
-5,297.31
|
15,882.50
|
404.63
|
|
ERRORS AND OMISSIONS
|
|
|
|
|
4,593.28
|
116.97
|
|
OVERALL BALANCE
|
-48,200.50
|
-1,221.10
|
62,223.30
|
1,578.30
|
14,022.80
|
357.20
|
|
MONETARY GOLD
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
|
SPECIAL DRAWING RIGHTS
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
|
FOREIGN EXCHANGE
|
48,200.50
|
1,221.10
|
-62,223.30
|
-1,578.30
|
-14,022.80
|
-357.20
|
|
CURRENCY AND DEPOSIT
|
744.90
|
18.80
|
0.00
|
0.00
|
744.90
|
18.80
|
|
SECURITIES
|
47,455.60
|
1,202.30
|
-62,223.30
|
-1,578.30
|
-14,767.70
|
-376.00
|
|
Bonds and notes
|
0.00
|
0.00
|
-62,223.30
|
-1,578.30
|
-62,223.30
|
-1,578.30
|
|
Money market instr. and financial derivates
|
47,455.60
|
1,202.30
|
0.00
|
0.00
|
47,455.60
|
1,202.30
|
|
RESERVE ASSETS
|
48,200.50
|
1,221.10
|
-62,223.30
|
-1,578.30
|
-14,022.80
|
-357.20
|
Used exchange rate of USD = 39.252 SKK