Data for the period
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|
Slovak Republic - Balance of Payments - January 2005
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Revision December 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
|
66,178.00
|
2,254.94
|
68,020.00
|
2,317.70
|
-1,842.00
|
-62.76
|
|
SERVICES
|
10,220.20
|
348.24
|
9,225.80
|
314.36
|
994.40
|
33.88
|
|
Transportation
|
3,782.00
|
128.87
|
2,535.00
|
86.38
|
1,247.00
|
42.49
|
|
Travel
|
2,715.00
|
92.51
|
1,639.50
|
55.86
|
1,075.50
|
36.65
|
|
Other services total
|
3,723.20
|
126.86
|
5,051.30
|
172.12
|
-1,328.10
|
-45.25
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|
INCOME
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4,864.60
|
165.76
|
4,943.50
|
168.44
|
-78.90
|
-2.69
|
|
Compensation of employees
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2,646.90
|
90.19
|
54.50
|
1.86
|
2,592.40
|
88.33
|
|
Investment income
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2,217.70
|
75.57
|
4,889.00
|
166.59
|
-2,671.30
|
-91.02
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CURRENT TRANSFERS
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1,634.30
|
55.69
|
5,146.80
|
175.37
|
-3,512.50
|
-119.68
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|
CURRENT ACCOUNT
|
82,897.10
|
2,824.63
|
87,336.10
|
2,975.88
|
-4,439.00
|
-151.25
|
|
CAPITAL ACCOUNT
|
22.70
|
0.80
|
141.30
|
4.80
|
-118.60
|
-4.00
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|
FINANCIAL ACCOUNT
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253,259.70
|
8,629.54
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-241,733.10
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-8,236.67
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11,526.60
|
392.88
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DIRECT INVESTMENT
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48,522.40
|
1,653.35
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-44,484.50
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-1,515.76
|
4,037.90
|
137.59
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ABROAD
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1,744.90
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59.46
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-2,160.40
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-73.61
|
-415.50
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-14.16
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Equity capital
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3.10
|
0.11
|
-27.30
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-0.93
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-24.20
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-0.82
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Reinvested earnings
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0.00
|
0.00
|
-8.00
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-0.27
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-8.00
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-0.27
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Other capital
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1,741.80
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59.35
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-2,125.10
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-72.41
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-383.30
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-13.06
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In SR
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46,777.50
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1,593.89
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-42,324.10
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-1,442.15
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4,453.40
|
151.74
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Equity capital
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2,317.50
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78.97
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-2,697.50
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-91.91
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-380.00
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-12.95
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Reinvested earnings
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2,257.50
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76.92
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0.00
|
0.00
|
2,257.50
|
76.92
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Other capital
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42,202.50
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1,438.00
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-39,626.60
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-1,350.23
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2,575.90
|
87.77
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PORTFOLIO INVESTMENT
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41,283.00
|
1,406.67
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-37,504.20
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-1,277.91
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3,778.80
|
128.76
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Assets
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6,735.10
|
229.49
|
-10,298.50
|
-350.91
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-3,563.40
|
-121.42
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Liabilities
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34,547.90
|
1,177.18
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-27,205.70
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-927.00
|
7,342.20
|
250.18
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FINANCIAL DERIVATES
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72,638.00
|
2,475.06
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-71,025.60
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-2,420.12
|
1,612.40
|
54.94
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Assets
|
30,184.10
|
1,028.49
|
-30,516.20
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-1,039.81
|
-332.10
|
-11.32
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Liabilities
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42,453.90
|
1,446.57
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-40,509.40
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-1,380.31
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1,944.50
|
66.26
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OTHER INVESTMENT
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90,816.30
|
3,094.47
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-88,718.80
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-3,022.88
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2,097.50
|
71.59
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Long-term
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7,933.60
|
270.33
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-9,382.80
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-319.59
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-1,449.20
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-49.26
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Assets
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1,117.60
|
38.08
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-1,165.10
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-39.70
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-47.50
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-1.62
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Liabilities
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6,816.00
|
232.25
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-8,217.70
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-279.89
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-1,401.70
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-47.64
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Short-term
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82,882.70
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2,824.14
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-79,336.00
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-2,703.29
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3,546.70
|
120.85
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Assets
|
30,147.70
|
1,027.25
|
-38,312.00
|
-1,305.44
|
-8,164.30
|
-278.19
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|
Liabilities
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52,735.00
|
1,796.89
|
-41,024.00
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-1,397.85
|
11,711.00
|
399.04
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CAPITAL AND FINANCIAL ACCOUNT
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253,282.40
|
8,630.34
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-241,874.40
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-8,241.47
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11,408.00
|
388.88
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ERRORS AND OMISSIONS
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|
|
|
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3,746.80
|
134.88
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OVERALL BALANCE
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-11,594.60
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-399.90
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22,310.40
|
772.40
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10,715.80
|
372.50
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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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0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
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FOREIGN EXCHANGE
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11,594.60
|
399.90
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-22,310.40
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-772.40
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-10,715.80
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-372.50
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CURRENCY AND DEPOSIT
|
11,594.60
|
399.90
|
0.00
|
0.00
|
11,594.60
|
399.90
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|
SECURITIES
|
0.00
|
0.00
|
-22,310.40
|
-772.40
|
-22,310.40
|
-772.40
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|
Bonds and notes
|
0.00
|
0.00
|
-13,448.10
|
-465.60
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-13,448.10
|
-465.60
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|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-8,862.30
|
-306.80
|
-8,862.30
|
-306.80
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|
RESERVE ASSETS
|
11,594.60
|
399.90
|
-22,310.40
|
-772.40
|
-10,715.80
|
-372.50
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Used exchange rate of USD = 29.348 SKK