Data for the period
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|
Slovak Republic - Balance of Payments - January to February 2003
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Revision February 2007
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Receipts/Credit (+)
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Expenditures/Debit (-)
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Balance
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|
mil. SKK
|
mil. USD
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mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
112,551.00
|
2,878.10
|
115,515.00
|
2,953.89
|
-2,964.00
|
-75.79
|
|
SERVICES
|
17,989.50
|
460.02
|
19,421.20
|
496.63
|
-1,431.70
|
-36.61
|
|
Transportation
|
8,068.80
|
206.33
|
5,973.20
|
152.74
|
2,095.60
|
53.59
|
|
Travel
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5,140.30
|
131.45
|
3,428.10
|
87.66
|
1,712.20
|
43.78
|
|
Other services total
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4,780.40
|
122.24
|
10,019.90
|
256.22
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-5,239.50
|
-133.98
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INCOME
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6,423.10
|
164.25
|
17,041.80
|
435.78
|
-10,618.70
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-271.54
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|
Compensation of employees
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3,128.70
|
80.01
|
98.20
|
2.51
|
3,030.50
|
77.49
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Investment income
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3,294.40
|
84.24
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16,943.60
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433.27
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-13,649.20
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-349.03
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CURRENT TRANSFERS
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2,713.80
|
69.40
|
1,560.70
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39.91
|
1,153.10
|
29.49
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CURRENT ACCOUNT
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139,677.40
|
3,571.76
|
153,538.70
|
3,926.22
|
-13,861.30
|
-354.45
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|
CAPITAL ACCOUNT
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419.50
|
10.73
|
463.30
|
11.85
|
-43.80
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-1.12
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FINANCIAL ACCOUNT
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390,879.50
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9,995.17
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-351,168.80
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-8,979.26
|
39,710.70
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1,015.91
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DIRECT INVESTMENT
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99,585.20
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2,546.55
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-81,570.90
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-2,085.89
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18,014.30
|
460.65
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ABROAD
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8,780.30
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224.53
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-13,705.10
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-350.46
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-4,924.80
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-125.93
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Equity capital
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504.00
|
12.89
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-15.60
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-0.40
|
488.40
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12.49
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Reinvested earnings
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0.00
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0.00
|
-212.50
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-5.43
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-212.50
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-5.43
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Other capital
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8,276.30
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211.64
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-13,477.00
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-344.63
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-5,200.70
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-132.99
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In SR
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90,804.90
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2,322.02
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-67,865.80
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-1,735.43
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22,939.10
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586.59
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Equity capital
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11,170.30
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285.64
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-618.40
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-15.81
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10,551.90
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269.83
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Reinvested earnings
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9,259.40
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236.78
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0.00
|
0.00
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9,259.40
|
236.78
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Other capital
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70,375.20
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1,799.60
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-67,247.40
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-1,719.62
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3,127.80
|
79.98
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PORTFOLIO INVESTMENT
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90,795.80
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2,321.79
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-92,273.40
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-2,359.57
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-1,477.60
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-37.78
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Assets
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13,336.10
|
341.02
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-14,267.10
|
-364.83
|
-931.00
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-23.81
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Liabilities
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77,459.70
|
1,980.76
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-78,006.30
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-1,994.74
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-546.60
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-13.98
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OTHER INVESTMENT
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200,498.50
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5,126.84
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-177,324.50
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-4,533.80
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23,174.00
|
593.04
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Long-term
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17,085.30
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436.90
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-13,460.80
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-344.31
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3,624.50
|
92.59
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Assets
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9,259.60
|
236.78
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-896.60
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-22.93
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8,363.00
|
213.85
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Liabilities
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7,825.70
|
200.12
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-12,564.20
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-321.38
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-4,738.50
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-121.26
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Short-term
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183,413.20
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4,689.94
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-163,863.70
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-4,189.49
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19,549.50
|
500.45
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Assets
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59,241.00
|
1,514.88
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-70,078.40
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-1,792.01
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-10,837.40
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-277.13
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Liabilities
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124,172.20
|
3,175.06
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-93,785.30
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-2,397.48
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30,386.90
|
777.58
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CAPITAL AND FINANCIAL ACCOUNT
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391,299.00
|
10,005.90
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-351,632.10
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-8,991.11
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39,666.90
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1,014.79
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ERRORS AND OMISSIONS
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|
|
|
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7,071.30
|
179.97
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OVERALL BALANCE
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-75,005.00
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-1,901.10
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107,881.90
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2,741.40
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32,876.90
|
840.30
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MONETARY GOLD
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0.00
|
0.00
|
0.00
|
0.00
|
0.00
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0.00
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SPECIAL DRAWING RIGHTS
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-0.20
|
0.00
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0.00
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0.00
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-0.20
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0.00
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FOREIGN EXCHANGE
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75,005.20
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1,901.10
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-107,881.90
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-2,741.40
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-32,876.70
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-840.30
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CURRENCY AND DEPOSIT
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0.00
|
0.00
|
-35,418.00
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-899.60
|
-35,418.00
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-899.60
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|
SECURITIES
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75,005.20
|
1,901.10
|
-72,463.90
|
-1,841.80
|
2,541.30
|
59.30
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Bonds and notes
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0.00
|
0.00
|
-72,463.90
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-1,841.80
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-72,463.90
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-1,841.80
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|
Money market instr. and financial derivates
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75,005.20
|
1,901.10
|
0.00
|
0.00
|
75,005.20
|
1,901.10
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|
RESERVE ASSETS
|
75,005.00
|
1,901.10
|
-107,881.90
|
-2,741.40
|
-32,876.90
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-840.30
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Used exchange rate of USD = 39.106 SKK