Data for the period
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|
Slovak Republic - Balance of Payments - January to June 2005
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|
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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
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|
GOODS
|
459,392.00
|
15,293.69
|
490,581.00
|
16,332.01
|
-31,189.00
|
-1,038.32
|
|
SERVICES
|
64,013.70
|
2,131.09
|
58,852.00
|
1,959.25
|
5,161.70
|
171.84
|
|
Transportation
|
23,634.30
|
786.81
|
17,229.00
|
573.57
|
6,405.30
|
213.24
|
|
Travel
|
17,024.60
|
566.77
|
12,246.30
|
407.69
|
4,778.30
|
159.08
|
|
Other services total
|
23,354.80
|
777.51
|
29,376.70
|
977.98
|
-6,021.90
|
-200.48
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|
INCOME
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24,800.60
|
825.64
|
54,310.80
|
1,808.07
|
-29,510.20
|
-982.43
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|
Compensation of employees
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15,477.40
|
515.26
|
554.60
|
18.46
|
14,922.80
|
496.80
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|
Investment income
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9,323.20
|
310.38
|
53,756.20
|
1,789.61
|
-44,433.00
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-1,479.23
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CURRENT TRANSFERS
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22,978.60
|
764.98
|
22,292.10
|
742.13
|
686.50
|
22.85
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|
CURRENT ACCOUNT
|
571,184.90
|
19,015.40
|
626,035.90
|
20,841.46
|
-54,851.00
|
-1,826.06
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|
CAPITAL ACCOUNT
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375.70
|
12.51
|
350.20
|
11.66
|
25.50
|
0.85
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FINANCIAL ACCOUNT
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1,956,755.80
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65,139.50
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-1,837,553.00
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-61,160.25
|
119,202.80
|
3,979.25
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DIRECT INVESTMENT
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366,006.80
|
12,184.79
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-324,721.90
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-10,810.37
|
41,284.90
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1,374.42
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ABROAD
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20,513.90
|
682.93
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-20,783.80
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-691.92
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-269.90
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-8.99
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Equity capital
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328.60
|
10.94
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-92.60
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-3.08
|
236.00
|
7.86
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Reinvested earnings
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0.00
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0.00
|
-48.10
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-1.60
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-48.10
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-1.60
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Other capital
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20,185.30
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671.99
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-20,643.10
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-687.23
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-457.80
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-15.24
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In SR
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345,492.90
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11,501.86
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-303,938.10
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-10,118.45
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41,554.80
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1,383.41
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Equity capital
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9,572.00
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318.66
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-3,568.20
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-118.79
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6,003.80
|
199.87
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Reinvested earnings
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13,545.10
|
450.93
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0.00
|
0.00
|
13,545.10
|
450.93
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Other capital
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322,375.80
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10,732.27
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-300,369.90
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-9,999.66
|
22,005.90
|
732.60
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PORTFOLIO INVESTMENT
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401,072.40
|
13,352.17
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-414,193.40
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-13,766.20
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-13,121.00
|
-414.03
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Assets
|
30,044.60
|
1,000.22
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-45,571.20
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-1,517.12
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-15,526.60
|
-516.90
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Liabilities
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371,027.80
|
12,351.95
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-368,622.20
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-12,249.08
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2,405.60
|
102.87
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FINANCIAL DERIVATES
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490,770.10
|
16,338.31
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-492,048.80
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-16,380.88
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-1,278.70
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-42.56
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|
Assets
|
205,312.60
|
6,835.10
|
-210,653.60
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-7,012.90
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-5,341.00
|
-177.80
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Liabilities
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285,457.50
|
9,503.21
|
-281,395.20
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-9,367.97
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4,062.30
|
135.24
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OTHER INVESTMENT
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698,906.50
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23,264.23
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-606,588.90
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-20,202.80
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92,317.60
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3,061.43
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Long-term
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49,560.60
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1,649.10
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-59,226.10
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-1,988.24
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-9,665.50
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-339.15
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Assets
|
15,541.20
|
516.55
|
-16,166.70
|
-538.21
|
-625.50
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-21.66
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Liabilities
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34,019.40
|
1,132.55
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-43,059.40
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-1,450.03
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-9,040.00
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-317.49
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Short-term
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649,345.90
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21,615.13
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-547,362.80
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-18,214.56
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101,983.10
|
3,400.57
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|
Assets
|
217,862.00
|
7,252.88
|
-235,052.70
|
-7,825.18
|
-17,190.70
|
-572.30
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Liabilities
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431,483.90
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14,362.25
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-312,310.10
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-10,389.38
|
119,173.80
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3,972.87
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CAPITAL AND FINANCIAL ACCOUNT
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1,957,131.50
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65,152.01
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-1,837,903.20
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-61,171.90
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119,228.30
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3,980.10
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ERRORS AND OMISSIONS
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|
|
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|
4,227.10
|
313.66
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OVERALL BALANCE
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-26,601.40
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-860.40
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95,205.80
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3,328.10
|
68,604.40
|
2,467.70
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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
|
-0.20
|
0.00
|
-0.20
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0.00
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FOREIGN EXCHANGE
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26,601.40
|
860.40
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-95,205.60
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-3,328.10
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-68,604.20
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-2,467.70
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|
CURRENCY AND DEPOSIT
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26,601.40
|
860.40
|
0.00
|
0.00
|
26,601.40
|
860.40
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|
SECURITIES
|
0.00
|
0.00
|
-95,205.60
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-3,328.10
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-95,205.60
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-3,328.10
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|
Bonds and notes
|
0.00
|
0.00
|
-59,188.10
|
-2,067.10
|
-59,188.10
|
-2,067.10
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|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-36,017.50
|
-1,261.00
|
-36,017.50
|
-1,261.00
|
|
RESERVE ASSETS
|
26,601.40
|
860.40
|
-95,205.80
|
-3,328.10
|
-68,604.40
|
-2,467.70
|
Used exchange rate of USD = 30.038 SKK