Data for the period
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Slovak Republic - Balance of Payments - January to March 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
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mil. USD
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mil. SKK
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mil. USD
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mil. SKK
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mil. USD
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GOODS
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176,416.00
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4,528.60
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182,207.00
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4,677.25
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-5,791.00
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-148.65
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SERVICES
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28,920.00
|
742.38
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28,292.20
|
726.26
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627.80
|
16.12
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Transportation
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12,181.80
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312.71
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8,391.30
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215.40
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3,790.50
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97.30
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Travel
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7,231.00
|
185.62
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5,126.30
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131.59
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2,104.70
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54.03
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Other services total
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9,507.20
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244.05
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14,774.60
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379.26
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-5,267.40
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-135.21
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INCOME
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8,742.80
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224.43
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24,365.30
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625.46
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-15,622.50
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-401.03
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Compensation of employees
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4,197.20
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107.74
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146.90
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3.77
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4,050.30
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103.97
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Investment income
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4,545.60
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116.69
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24,218.40
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621.69
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-19,672.80
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-505.00
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CURRENT TRANSFERS
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4,862.90
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124.83
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2,336.50
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59.98
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2,526.40
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64.85
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CURRENT ACCOUNT
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218,941.70
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5,620.23
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237,201.00
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6,088.95
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-18,259.30
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-468.72
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CAPITAL ACCOUNT
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900.70
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23.12
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599.20
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15.38
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301.50
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7.74
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FINANCIAL ACCOUNT
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570,586.80
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14,644.93
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-551,328.30
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-14,159.06
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19,258.50
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485.87
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DIRECT INVESTMENT
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142,811.30
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3,665.96
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-121,733.90
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-3,124.91
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21,077.40
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541.06
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ABROAD
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10,653.60
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273.48
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-17,138.40
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-439.94
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-6,484.80
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-166.46
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Equity capital
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516.00
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13.25
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-20.60
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-0.53
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495.40
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12.72
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Reinvested earnings
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0.00
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0.00
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-318.80
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-8.18
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-318.80
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-8.18
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Other capital
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10,137.60
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260.23
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-16,799.00
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-431.23
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-6,661.40
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-171.00
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In SR
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132,157.70
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3,392.49
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-104,595.50
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-2,684.97
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27,562.20
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707.52
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Equity capital
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11,431.30
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293.44
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-685.70
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-17.60
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10,745.60
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275.84
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Reinvested earnings
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13,889.10
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356.53
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0.00
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0.00
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13,889.10
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356.53
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Other capital
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106,837.30
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2,742.51
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-103,909.80
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-2,667.36
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2,927.50
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75.15
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PORTFOLIO INVESTMENT
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122,484.40
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3,144.17
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-121,560.50
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-3,120.46
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923.90
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23.72
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Assets
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20,678.30
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530.81
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-21,911.50
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-562.47
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-1,233.20
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-31.66
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Liabilities
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101,806.10
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2,613.36
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-99,649.00
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-2,557.99
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2,157.10
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55.37
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FINANCIAL DERIVATES
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11,133.80
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285.80
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-11,593.70
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-297.61
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-459.90
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-11.81
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Assets
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412.20
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10.58
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-1,851.30
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-47.52
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-1,439.10
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-36.94
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Liabilities
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10,721.60
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275.22
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-9,742.40
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-250.09
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979.20
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25.14
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OTHER INVESTMENT
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294,157.30
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7,548.99
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-296,440.20
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-7,616.09
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-2,282.90
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-67.10
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Long-term
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23,386.50
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600.33
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-21,579.50
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-554.16
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1,807.00
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46.17
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Assets
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9,541.90
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244.94
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-2,009.30
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-51.58
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7,532.60
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193.36
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Liabilities
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13,844.60
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355.39
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-19,570.20
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-502.58
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-5,725.60
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-147.19
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Short-term
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270,770.80
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6,948.66
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-274,860.70
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-7,061.93
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-4,089.90
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-113.27
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Assets
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97,253.10
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2,496.49
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-117,006.50
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-3,003.56
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-19,753.40
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-507.07
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Liabilities
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173,517.70
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4,452.17
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-157,854.20
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-4,058.38
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15,663.50
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393.80
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CAPITAL AND FINANCIAL ACCOUNT
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571,487.50
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14,668.05
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-551,927.50
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-14,174.45
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19,560.00
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493.61
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ERRORS AND OMISSIONS
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11,114.00
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282.81
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OVERALL BALANCE
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-80,460.30
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-2,049.20
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92,875.00
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2,356.90
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12,414.70
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307.70
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MONETARY GOLD
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0.00
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0.00
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0.00
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0.00
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0.00
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0.00
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SPECIAL DRAWING RIGHTS
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-0.20
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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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80,460.50
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2,049.20
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-92,875.00
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-2,356.90
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-12,414.50
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-307.70
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CURRENCY AND DEPOSIT
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0.00
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0.00
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-13,669.50
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-346.80
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-13,669.50
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-346.80
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SECURITIES
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80,460.50
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2,049.20
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-79,205.50
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-2,010.10
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1,255.00
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39.10
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Bonds and notes
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0.00
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0.00
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-79,205.50
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-2,010.10
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-79,205.50
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-2,010.10
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Money market instr. and financial derivates
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80,460.50
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2,049.20
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0.00
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0.00
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80,460.50
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2,049.20
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RESERVE ASSETS
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80,460.30
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2,049.20
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-92,875.00
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-2,356.90
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-12,414.70
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-307.70
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Used exchange rate of USD = 38.956 SKK
Selected indicators under SDDS' specification
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IMPORT OF GOODS AND SERVICES
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210,499.20
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EXPORT OF GOODS AND SERVICES
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205,336.00
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NET INCOME RECEIPTS
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-15,622.50
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NET RECEIPTS FROM CURRENT TRANSFERS
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2,526.40
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CAPITAL TRANSFERS
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301.50
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FINANCIAL ACCOUNT
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19,258.50
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RESERVE ASSETS
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-12,414.70
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DIRECT INVESTMENT
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21,077.40
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Direct investment abroad
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-6,484.80
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Direct investment in SR
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27,562.20
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PORTFOLIO INVESTMENT
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923.90
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Portfolio investment assets
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-1,233.20
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Portfolio investment liabilities
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2,157.10
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FINANCIAL DERIVATES
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-459.90
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Financial derivates assets
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-1,439.10
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Financial derivates liabilities
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979.20
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OTHER CAPITAL
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-2,282.90
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Other capital assets
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-12,220.80
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Other capital liabilities
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9,937.90
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