Data for the period
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|
Slovak Republic - Balance of Payments - January to April 2003
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|
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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
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
237,810.00
|
6,145.76
|
249,559.00
|
6,449.39
|
-11,749.00
|
-303.63
|
|
SERVICES
|
38,188.10
|
986.90
|
36,515.20
|
943.67
|
1,672.90
|
43.23
|
|
Transportation
|
16,539.70
|
427.44
|
10,820.70
|
279.64
|
5,719.00
|
147.80
|
|
Travel
|
9,732.30
|
251.51
|
6,921.50
|
178.87
|
2,810.80
|
72.64
|
|
Other services total
|
11,916.10
|
307.95
|
18,773.00
|
485.15
|
-6,856.90
|
-177.20
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INCOME
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11,628.30
|
300.51
|
32,947.80
|
851.47
|
-21,319.50
|
-550.96
|
|
Compensation of employees
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5,785.20
|
149.51
|
179.40
|
4.64
|
5,605.80
|
144.87
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|
Investment income
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5,843.10
|
151.00
|
32,768.40
|
846.84
|
-26,925.30
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-695.83
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CURRENT TRANSFERS
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6,594.40
|
170.42
|
2,916.90
|
75.38
|
3,677.50
|
95.04
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|
CURRENT ACCOUNT
|
294,220.80
|
7,603.59
|
321,938.90
|
8,319.91
|
-27,718.10
|
-716.32
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|
CAPITAL ACCOUNT
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1,172.00
|
30.29
|
653.10
|
16.88
|
518.90
|
13.41
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|
FINANCIAL ACCOUNT
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736,780.40
|
19,033.28
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-720,702.40
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-18,632.26
|
16,078.00
|
401.02
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DIRECT INVESTMENT
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189,260.40
|
4,891.08
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-165,130.90
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-4,267.50
|
24,129.50
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623.58
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ABROAD
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10,842.60
|
280.21
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-20,040.10
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-517.90
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-9,197.50
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-237.69
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Equity capital
|
517.00
|
13.36
|
-84.00
|
-2.17
|
433.00
|
11.19
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Reinvested earnings
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0.00
|
0.00
|
-425.10
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-10.99
|
-425.10
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-10.99
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Other capital
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10,325.60
|
266.85
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-19,531.00
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-504.74
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-9,205.40
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-237.90
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In SR
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178,417.80
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4,610.87
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-145,090.80
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-3,749.60
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33,327.00
|
861.27
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Equity capital
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13,958.00
|
360.72
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-1,771.40
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-45.78
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12,186.60
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314.94
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Reinvested earnings
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18,518.70
|
478.58
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0.00
|
0.00
|
18,518.70
|
478.58
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Other capital
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145,941.10
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3,771.58
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-143,319.40
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-3,703.82
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2,621.70
|
67.75
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PORTFOLIO INVESTMENT
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169,766.70
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4,387.30
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-169,811.90
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-4,388.47
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-45.20
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-1.17
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Assets
|
27,263.10
|
704.56
|
-32,218.30
|
-832.62
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-4,955.20
|
-128.06
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Liabilities
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142,503.60
|
3,682.74
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-137,593.60
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-3,555.85
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4,910.00
|
126.89
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OTHER INVESTMENT
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377,753.30
|
9,754.90
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-385,759.60
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-9,976.28
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-8,006.30
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-221.39
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Long-term
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24,339.40
|
629.01
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-28,782.40
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-749.97
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-4,443.00
|
-120.96
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Assets
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10,324.90
|
266.83
|
-2,190.40
|
-56.61
|
8,134.50
|
210.22
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|
Liabilities
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14,014.50
|
362.18
|
-26,592.00
|
-693.36
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-12,577.50
|
-331.18
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Short-term
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353,413.90
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9,125.89
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-356,977.20
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-9,226.32
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-3,563.30
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-100.43
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Assets
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139,919.80
|
3,615.97
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-152,179.70
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-3,932.80
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-12,259.90
|
-316.83
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Liabilities
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213,494.10
|
5,509.92
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-204,797.50
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-5,293.52
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8,696.60
|
216.41
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CAPITAL AND FINANCIAL ACCOUNT
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737,952.40
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19,063.57
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-721,355.50
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-18,649.13
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16,596.90
|
414.43
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ERRORS AND OMISSIONS
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|
|
|
|
15,294.10
|
395.09
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OVERALL BALANCE
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-85,707.80
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-2,223.20
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89,880.70
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2,316.40
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4,172.90
|
93.20
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MONETARY GOLD
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0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
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SPECIAL DRAWING RIGHTS
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-0.20
|
0.00
|
0.00
|
0.00
|
-0.20
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0.00
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FOREIGN EXCHANGE
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85,708.00
|
2,223.20
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-89,880.70
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-2,316.40
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-4,172.70
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-93.20
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CURRENCY AND DEPOSIT
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0.00
|
0.00
|
-16,190.70
|
-417.40
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-16,190.70
|
-417.40
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|
SECURITIES
|
85,708.00
|
2,223.20
|
-73,690.00
|
-1,899.00
|
12,018.00
|
324.20
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|
Bonds and notes
|
0.00
|
0.00
|
-73,690.00
|
-1,899.00
|
-73,690.00
|
-1,899.00
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|
Money market instr. and financial derivates
|
85,708.00
|
2,223.20
|
0.00
|
0.00
|
85,708.00
|
2,223.20
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|
RESERVE ASSETS
|
85,707.80
|
2,223.20
|
-89,880.70
|
-2,316.40
|
-4,172.90
|
-93.20
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Used exchange rate of USD = 38.695 SKK