Data for the period
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Slovak Republic - Balance of Payments - January to December 2004
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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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890,921.00
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27,621.18
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940,471.00
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29,157.37
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-49,550.00
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-1,536.20
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SERVICES
|
120,153.60
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3,725.12
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111,522.40
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3,457.52
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8,631.20
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267.59
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Transportation
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48,100.80
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1,491.27
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32,089.40
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994.87
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16,011.40
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496.40
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Travel
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29,069.70
|
901.25
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24,031.80
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745.06
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5,037.90
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156.19
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Other services total
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42,983.10
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1,332.60
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55,401.20
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1,717.60
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-12,418.10
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-385.00
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INCOME
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32,208.30
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998.55
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103,105.70
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3,196.58
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-70,897.40
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-2,198.03
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Compensation of employees
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16,987.40
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526.66
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706.50
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21.90
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16,280.90
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504.76
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Investment income
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15,220.90
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471.89
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102,399.20
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3,174.68
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-87,178.30
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-2,702.78
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CURRENT TRANSFERS
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28,515.50
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884.06
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23,057.40
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714.85
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5,458.10
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169.22
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CURRENT ACCOUNT
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1,071,798.40
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33,228.91
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1,178,156.50
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36,526.32
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-106,358.10
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-3,297.41
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CAPITAL ACCOUNT
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4,876.10
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151.17
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464.10
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14.39
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4,412.00
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136.78
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FINANCIAL ACCOUNT
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3,380,685.90
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104,722.75
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-3,225,832.00
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-99,929.49
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154,853.90
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4,793.26
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DIRECT INVESTMENT
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804,140.00
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24,930.71
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-705,704.70
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-21,878.92
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98,435.30
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3,051.78
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ABROAD
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36,342.90
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1,126.74
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-35,660.60
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-1,105.58
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682.30
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21.15
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Equity capital
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767.70
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23.80
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-3,448.00
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-106.90
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-2,680.30
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-83.10
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Reinvested earnings
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0.00
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-2,518.80
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-78.09
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-2,518.80
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-78.09
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Other capital
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35,575.20
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1,102.94
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-29,693.80
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-920.60
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5,881.40
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182.34
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In SR
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767,797.10
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23,803.97
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-670,044.10
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-20,773.34
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97,753.00
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3,030.63
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Equity capital
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50,872.40
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1,577.19
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-13,374.10
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-414.64
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37,498.30
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1,162.56
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Reinvested earnings
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52,021.70
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1,612.83
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0.00
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52,021.70
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1,612.83
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Other capital
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664,903.00
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20,613.95
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-656,670.00
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-20,358.70
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8,233.00
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255.25
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PORTFOLIO INVESTMENT
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393,122.30
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12,144.10
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-364,237.20
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-11,277.72
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28,885.10
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866.38
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Assets
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72,540.60
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2,248.97
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-98,528.70
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-3,054.68
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-25,988.10
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-805.71
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Liabilities
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320,581.70
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9,895.12
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-265,708.50
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-8,223.04
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54,873.20
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1,672.09
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FINANCIAL DERIVATES
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760,862.40
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23,588.98
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-760,316.30
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-23,572.04
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546.10
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16.93
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Assets
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305,608.40
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9,474.76
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-310,269.80
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-9,619.28
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-4,661.40
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-144.52
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Liabilities
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455,254.00
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14,114.21
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-450,046.50
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-13,952.77
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5,207.50
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161.45
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OTHER INVESTMENT
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1,422,561.20
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44,058.96
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-1,395,573.80
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-43,200.80
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26,987.40
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858.16
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Long-term
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131,599.50
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4,071.52
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-141,672.40
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-4,389.10
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-10,072.90
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-317.58
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Assets
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28,459.90
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882.34
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-30,983.60
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-960.58
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-2,523.70
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-78.24
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Liabilities
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103,139.60
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3,189.18
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-110,688.80
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-3,428.52
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-7,549.20
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-239.33
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Short-term
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1,290,961.70
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39,987.44
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-1,253,901.40
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-38,811.70
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37,060.30
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1,175.74
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Assets
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463,453.00
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14,368.41
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-465,426.80
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-14,429.60
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-1,973.80
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-61.19
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Liabilities
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827,508.70
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25,619.03
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-788,474.60
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-24,382.10
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39,034.10
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1,236.93
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CAPITAL AND FINANCIAL ACCOUNT
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3,385,562.00
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104,873.92
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-3,226,296.10
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-99,943.87
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159,265.90
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4,930.04
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ERRORS AND OMISSIONS
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2,297.30
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44.47
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OVERALL BALANCE
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0.00
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0.00
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55,205.10
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1,677.10
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55,205.10
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1,677.10
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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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0.00
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0.00
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-1.10
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0.00
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-1.10
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0.00
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FOREIGN EXCHANGE
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0.00
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0.00
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-55,204.00
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-1,677.10
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-55,204.00
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-1,677.10
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CURRENCY AND DEPOSIT
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0.00
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0.00
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-16,500.90
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-521.00
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-16,500.90
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-521.00
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SECURITIES
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0.00
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0.00
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-38,703.10
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-1,156.10
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-38,703.10
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-1,156.10
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Bonds and notes
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0.00
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0.00
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-18,924.50
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-551.70
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-18,924.50
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-551.70
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Money market instr. and financial derivates
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0.00
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0.00
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-19,778.60
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-604.40
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-19,778.60
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-604.40
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RESERVE ASSETS
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0.00
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0.00
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-55,205.10
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-1,677.10
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-55,205.10
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-1,677.10
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Used exchange rate of USD = 32.255 SKK
Selected indicators under SDDS' specification
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IMPORT OF GOODS AND SERVICES
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1,051,993.40
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EXPORT OF GOODS AND SERVICES
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1,011,074.60
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NET INCOME RECEIPTS
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-70,897.40
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NET RECEIPTS FROM CURRENT TRANSFERS
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5,458.10
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CAPITAL TRANSFERS
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4,412.00
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FINANCIAL ACCOUNT
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154,853.90
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RESERVE ASSETS
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-55,205.10
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DIRECT INVESTMENT
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98,435.30
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Direct investment abroad
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682.30
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Direct investment in SR
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97,753.00
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PORTFOLIO INVESTMENT
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28,885.10
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Portfolio investment assets
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-25,988.10
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Portfolio investment liabilities
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54,873.20
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FINANCIAL DERIVATES
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546.10
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Financial derivates assets
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-4,661.40
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Financial derivates liabilities
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5,207.50
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OTHER CAPITAL
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26,987.40
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Other capital assets
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-4,497.50
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Other capital liabilities
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31,484.90
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