Data for the period
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|
Slovak Republic - Balance of Payments - January to May 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
|
|
GOODS
|
306,442.00
|
8,046.26
|
315,928.00
|
8,295.34
|
-9,486.00
|
-249.07
|
|
SERVICES
|
47,545.90
|
1,248.42
|
45,662.90
|
1,198.97
|
1,883.00
|
49.44
|
|
Transportation
|
20,525.80
|
538.95
|
13,597.70
|
357.04
|
6,928.10
|
181.91
|
|
Travel
|
12,188.10
|
320.02
|
8,793.30
|
230.89
|
3,394.80
|
89.14
|
|
Other services total
|
14,832.00
|
389.44
|
23,271.90
|
611.05
|
-8,439.90
|
-221.61
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|
INCOME
|
16,065.90
|
421.84
|
43,691.40
|
1,147.21
|
-27,625.50
|
-725.36
|
|
Compensation of employees
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7,379.40
|
193.76
|
212.20
|
5.57
|
7,167.20
|
188.19
|
|
Investment income
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8,686.50
|
228.08
|
43,479.20
|
1,141.64
|
-34,792.70
|
-913.55
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|
CURRENT TRANSFERS
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8,244.20
|
216.47
|
3,598.70
|
94.49
|
4,645.50
|
121.98
|
|
CURRENT ACCOUNT
|
378,298.00
|
9,932.99
|
408,881.00
|
10,736.01
|
-30,583.00
|
-803.02
|
|
CAPITAL ACCOUNT
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1,534.40
|
40.29
|
1,046.90
|
27.49
|
487.50
|
12.80
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|
FINANCIAL ACCOUNT
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924,155.10
|
24,303.16
|
-893,188.50
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-23,518.79
|
30,966.60
|
784.38
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|
DIRECT INVESTMENT
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245,174.50
|
6,437.56
|
-212,439.30
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-5,578.03
|
32,735.20
|
859.53
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|
ABROAD
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13,158.30
|
345.50
|
-22,229.20
|
-583.67
|
-9,070.90
|
-238.18
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|
Equity capital
|
528.00
|
13.86
|
-108.60
|
-2.85
|
419.40
|
11.01
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|
Reinvested earnings
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0.00
|
0.00
|
-531.30
|
-13.95
|
-531.30
|
-13.95
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Other capital
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12,630.30
|
331.63
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-21,589.30
|
-566.87
|
-8,959.00
|
-235.24
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In SR
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232,016.20
|
6,092.06
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-190,210.10
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-4,994.36
|
41,806.10
|
1,097.71
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Equity capital
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21,739.80
|
570.82
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-2,241.80
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-58.86
|
19,498.00
|
511.96
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Reinvested earnings
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23,148.40
|
607.81
|
0.00
|
0.00
|
23,148.40
|
607.81
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|
Other capital
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187,128.00
|
4,913.43
|
-187,968.30
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-4,935.49
|
-840.30
|
-22.06
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PORTFOLIO INVESTMENT
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172,826.60
|
4,587.22
|
-186,090.80
|
-4,962.50
|
-13,264.20
|
-375.28
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|
Assets
|
34,636.70
|
909.46
|
-46,254.50
|
-1,214.51
|
-11,617.80
|
-305.05
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|
Liabilities
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138,189.90
|
3,677.76
|
-139,836.30
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-3,747.99
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-1,646.40
|
-70.23
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OTHER INVESTMENT
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506,154.00
|
13,278.38
|
-494,658.40
|
-12,978.26
|
11,495.60
|
300.12
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|
Long-term
|
54,463.90
|
1,430.64
|
-57,801.50
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-1,520.41
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-3,337.60
|
-89.78
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|
Assets
|
10,405.00
|
273.20
|
-2,425.40
|
-63.68
|
7,979.60
|
209.52
|
|
Liabilities
|
44,058.90
|
1,157.43
|
-55,376.10
|
-1,456.73
|
-11,317.20
|
-299.30
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Short-term
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451,690.10
|
11,847.75
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-436,856.90
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-11,457.85
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14,833.20
|
389.90
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|
Assets
|
179,427.00
|
4,711.22
|
-186,817.40
|
-4,905.28
|
-7,390.40
|
-194.05
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|
Liabilities
|
272,263.10
|
7,136.52
|
-250,039.50
|
-6,552.57
|
22,223.60
|
583.95
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CAPITAL AND FINANCIAL ACCOUNT
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925,689.50
|
24,343.45
|
-894,235.40
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-23,546.28
|
31,454.10
|
797.18
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|
ERRORS AND OMISSIONS
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|
|
|
|
11,130.90
|
308.04
|
|
OVERALL BALANCE
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-99,479.90
|
-2,653.70
|
111,481.90
|
2,955.90
|
12,002.00
|
302.20
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|
MONETARY GOLD
|
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
|
0.00
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|
FOREIGN EXCHANGE
|
99,480.10
|
2,653.70
|
-111,481.90
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-2,955.90
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-12,001.80
|
-302.20
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|
CURRENCY AND DEPOSIT
|
0.00
|
0.00
|
-16,624.30
|
-440.70
|
-16,624.30
|
-440.70
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|
SECURITIES
|
99,480.10
|
2,653.70
|
-94,857.60
|
-2,515.20
|
4,622.50
|
138.50
|
|
Bonds and notes
|
0.00
|
0.00
|
-94,857.60
|
-2,515.20
|
-94,857.60
|
-2,515.20
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|
Money market instr. and financial derivates
|
99,480.10
|
2,653.70
|
0.00
|
0.00
|
99,480.10
|
2,653.70
|
|
RESERVE ASSETS
|
99,479.90
|
2,653.70
|
-111,481.90
|
-2,955.90
|
-12,002.00
|
-302.20
|
Used exchange rate of USD = 38.085 SKK