Data for the period
|
|
Slovak Republic - Balance of Payments - January to May 2005
|
|
|
Revision December 2007
|
|
Receipts/Credit (+)
|
Expenditures/Debit (-)
|
Balance
|
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
|
GOODS
|
373,070.00
|
12,561.70
|
400,886.00
|
13,498.30
|
-27,816.00
|
-936.60
|
|
SERVICES
|
52,980.80
|
1,783.93
|
46,999.20
|
1,582.52
|
5,981.60
|
201.41
|
|
Transportation
|
19,485.00
|
656.08
|
14,074.40
|
473.90
|
5,410.60
|
182.18
|
|
Travel
|
14,678.30
|
494.24
|
9,471.00
|
318.90
|
5,207.30
|
175.34
|
|
Other services total
|
18,817.50
|
633.61
|
23,453.80
|
789.72
|
-4,636.30
|
-156.11
|
|
INCOME
|
21,118.60
|
711.09
|
40,857.00
|
1,375.70
|
-19,738.40
|
-664.61
|
|
Compensation of employees
|
13,042.90
|
439.17
|
461.60
|
15.54
|
12,581.30
|
423.63
|
|
Investment income
|
8,075.70
|
271.92
|
40,395.40
|
1,360.16
|
-32,319.70
|
-1,088.24
|
|
CURRENT TRANSFERS
|
17,930.50
|
603.74
|
16,967.10
|
571.30
|
963.40
|
32.44
|
|
CURRENT ACCOUNT
|
465,099.90
|
15,660.46
|
505,709.30
|
17,027.82
|
-40,609.40
|
-1,367.37
|
|
CAPITAL ACCOUNT
|
223.80
|
7.54
|
305.60
|
10.29
|
-81.80
|
-2.75
|
|
FINANCIAL ACCOUNT
|
1,578,712.10
|
53,156.75
|
-1,478,499.20
|
-49,757.08
|
100,212.90
|
3,399.67
|
|
DIRECT INVESTMENT
|
281,546.40
|
9,480.00
|
-262,272.90
|
-8,831.03
|
19,273.50
|
648.96
|
|
ABROAD
|
16,391.10
|
551.91
|
-16,341.80
|
-550.25
|
49.30
|
1.66
|
|
Equity capital
|
296.80
|
9.99
|
-91.30
|
-3.07
|
205.50
|
6.92
|
|
Reinvested earnings
|
0.00
|
0.00
|
-40.10
|
-1.35
|
-40.10
|
-1.35
|
|
Other capital
|
16,094.30
|
541.91
|
-16,210.40
|
-545.82
|
-116.10
|
-3.91
|
|
In SR
|
265,155.30
|
8,928.09
|
-245,931.10
|
-8,280.79
|
19,224.20
|
647.30
|
|
Equity capital
|
6,864.90
|
231.15
|
-3,604.60
|
-121.37
|
3,260.30
|
109.78
|
|
Reinvested earnings
|
11,287.50
|
380.06
|
0.00
|
0.00
|
11,287.50
|
380.06
|
|
Other capital
|
247,002.90
|
8,316.88
|
-242,326.50
|
-8,159.42
|
4,676.40
|
157.46
|
|
PORTFOLIO INVESTMENT
|
312,388.50
|
10,518.49
|
-331,643.00
|
-11,132.93
|
-19,254.50
|
-614.45
|
|
Assets
|
22,392.60
|
753.98
|
-38,023.90
|
-1,280.31
|
-15,631.30
|
-526.32
|
|
Liabilities
|
289,995.90
|
9,764.50
|
-293,619.10
|
-9,852.63
|
-3,623.20
|
-88.12
|
|
FINANCIAL DERIVATES
|
386,450.00
|
13,012.22
|
-386,570.70
|
-13,016.29
|
-120.70
|
-4.06
|
|
Assets
|
163,081.70
|
5,491.15
|
-166,701.70
|
-5,613.04
|
-3,620.00
|
-121.89
|
|
Liabilities
|
223,368.30
|
7,521.07
|
-219,869.00
|
-7,403.25
|
3,499.30
|
117.83
|
|
OTHER INVESTMENT
|
598,327.20
|
20,146.04
|
-498,012.60
|
-16,776.82
|
100,314.60
|
3,369.22
|
|
Long-term
|
38,586.50
|
1,299.25
|
-49,393.10
|
-1,672.53
|
-10,806.60
|
-373.28
|
|
Assets
|
10,109.40
|
340.40
|
-10,660.30
|
-358.94
|
-550.90
|
-18.55
|
|
Liabilities
|
28,477.10
|
958.86
|
-38,732.80
|
-1,313.59
|
-10,255.70
|
-354.73
|
|
Short-term
|
559,740.70
|
18,846.79
|
-448,619.50
|
-15,104.29
|
111,121.20
|
3,742.50
|
|
Assets
|
186,238.30
|
6,270.86
|
-197,655.10
|
-6,655.28
|
-11,416.80
|
-384.42
|
|
Liabilities
|
373,502.40
|
12,575.93
|
-250,964.40
|
-8,449.01
|
122,538.00
|
4,126.92
|
|
CAPITAL AND FINANCIAL ACCOUNT
|
1,578,935.90
|
53,164.28
|
-1,478,804.80
|
-49,767.37
|
100,131.10
|
3,396.92
|
|
ERRORS AND OMISSIONS
|
|
|
|
|
10,560.50
|
481.35
|
|
OVERALL BALANCE
|
-26,865.00
|
-882.20
|
96,947.20
|
3,393.10
|
70,082.20
|
2,510.90
|
|
MONETARY GOLD
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
|
SPECIAL DRAWING RIGHTS
|
0.00
|
0.00
|
-0.20
|
0.00
|
-0.20
|
0.00
|
|
FOREIGN EXCHANGE
|
26,865.00
|
882.20
|
-96,947.00
|
-3,393.10
|
-70,082.00
|
-2,510.90
|
|
CURRENCY AND DEPOSIT
|
26,865.00
|
882.20
|
0.00
|
0.00
|
26,865.00
|
882.20
|
|
SECURITIES
|
0.00
|
0.00
|
-96,947.00
|
-3,393.10
|
-96,947.00
|
-3,393.10
|
|
Bonds and notes
|
0.00
|
0.00
|
-53,525.40
|
-1,880.60
|
-53,525.40
|
-1,880.60
|
|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-43,421.60
|
-1,512.50
|
-43,421.60
|
-1,512.50
|
|
RESERVE ASSETS
|
26,865.00
|
882.20
|
-96,947.20
|
-3,393.10
|
-70,082.20
|
-2,510.90
|
Used exchange rate of USD = 29.699 SKK