Data for the period
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|
Slovak Republic - Balance of Payments - January to August 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
|
618,360.00
|
20,281.41
|
653,660.00
|
21,439.21
|
-35,300.00
|
-1,157.79
|
|
SERVICES
|
87,700.20
|
2,876.45
|
79,512.00
|
2,607.89
|
8,188.20
|
268.56
|
|
Transportation
|
31,730.60
|
1,040.72
|
23,180.60
|
760.29
|
8,550.00
|
280.43
|
|
Travel
|
23,974.90
|
786.35
|
17,590.60
|
576.95
|
6,384.30
|
209.40
|
|
Other services total
|
31,994.70
|
1,049.39
|
38,740.80
|
1,270.65
|
-6,746.10
|
-221.26
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|
INCOME
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32,561.30
|
1,067.97
|
67,333.40
|
2,208.45
|
-34,772.10
|
-1,140.48
|
|
Compensation of employees
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19,650.00
|
644.49
|
680.90
|
22.33
|
18,969.10
|
622.16
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|
Investment income
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12,911.30
|
423.47
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66,652.50
|
2,186.12
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-53,741.20
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-1,762.64
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CURRENT TRANSFERS
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26,826.70
|
879.88
|
28,321.30
|
928.90
|
-1,494.60
|
-49.02
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|
CURRENT ACCOUNT
|
765,448.20
|
25,105.72
|
828,826.70
|
27,184.45
|
-63,378.50
|
-2,078.73
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|
CAPITAL ACCOUNT
|
407.40
|
13.36
|
465.60
|
15.27
|
-58.20
|
-1.91
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FINANCIAL ACCOUNT
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2,708,422.20
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88,827.93
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-2,561,309.80
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-84,020.53
|
147,112.40
|
4,807.41
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DIRECT INVESTMENT
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500,856.10
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16,427.44
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-446,283.70
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-14,637.53
|
54,572.40
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1,789.90
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ABROAD
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31,348.80
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1,028.20
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-32,354.80
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-1,061.20
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-1,006.00
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-33.00
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|
Equity capital
|
591.00
|
19.38
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-1,108.20
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-36.35
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-517.20
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-16.96
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Reinvested earnings
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0.00
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0.00
|
-64.10
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-2.10
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-64.10
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-2.10
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Other capital
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30,757.80
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1,008.82
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-31,182.50
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-1,022.75
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-424.70
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-13.93
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In SR
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469,507.30
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15,399.24
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-413,928.90
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-13,576.34
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55,578.40
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1,822.90
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Equity capital
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12,419.40
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407.34
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-4,794.50
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-157.25
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7,624.90
|
250.09
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Reinvested earnings
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18,060.10
|
592.35
|
0.00
|
0.00
|
18,060.10
|
592.35
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Other capital
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439,027.80
|
14,399.55
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-409,134.40
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-13,419.08
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29,893.40
|
980.47
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PORTFOLIO INVESTMENT
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577,205.80
|
18,931.61
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-576,438.80
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-18,898.02
|
767.00
|
33.58
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Assets
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43,437.70
|
1,424.70
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-60,262.40
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-1,976.53
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-16,824.70
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-551.83
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Liabilities
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533,768.10
|
17,506.91
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-516,176.40
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-16,921.50
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17,591.70
|
585.41
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FINANCIAL DERIVATES
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697,442.50
|
22,875.22
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-697,446.00
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-22,875.33
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-3.50
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-0.11
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|
Assets
|
293,543.90
|
9,627.86
|
-296,321.70
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-9,718.97
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-2,777.80
|
-91.11
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Liabilities
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403,898.60
|
13,247.35
|
-401,124.30
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-13,156.36
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2,774.30
|
90.99
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OTHER INVESTMENT
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932,917.80
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30,593.67
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-841,141.30
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-27,609.64
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91,776.50
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2,984.03
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Long-term
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67,603.20
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2,211.49
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-76,676.40
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-2,540.67
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-9,073.20
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-329.18
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|
Assets
|
22,171.30
|
724.98
|
-26,163.40
|
-858.18
|
-3,992.10
|
-133.20
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|
Liabilities
|
45,431.90
|
1,486.51
|
-50,513.00
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-1,682.49
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-5,081.10
|
-195.98
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Short-term
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865,314.60
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28,382.18
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-764,464.90
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-25,068.96
|
100,849.70
|
3,313.21
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|
Assets
|
319,796.00
|
10,488.90
|
-342,664.80
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-11,238.96
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-22,868.80
|
-750.07
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Liabilities
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545,518.60
|
17,893.28
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-421,800.10
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-13,830.00
|
123,718.50
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4,063.28
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CAPITAL AND FINANCIAL ACCOUNT
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2,708,829.60
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88,841.29
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-2,561,775.40
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-84,035.80
|
147,054.20
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4,805.50
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ERRORS AND OMISSIONS
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|
|
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-11,261.80
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-127.16
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OVERALL BALANCE
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-14,193.00
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-447.10
|
86,606.90
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3,046.70
|
72,413.90
|
2,599.60
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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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0.00
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0.00
|
-0.20
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0.00
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-0.20
|
0.00
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FOREIGN EXCHANGE
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14,193.00
|
447.10
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-86,606.70
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-3,046.70
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-72,413.70
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-2,599.60
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|
CURRENCY AND DEPOSIT
|
14,193.00
|
447.10
|
0.00
|
0.00
|
14,193.00
|
447.10
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|
SECURITIES
|
0.00
|
0.00
|
-86,606.70
|
-3,046.70
|
-86,606.70
|
-3,046.70
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|
Bonds and notes
|
0.00
|
0.00
|
-60,878.00
|
-2,127.30
|
-60,878.00
|
-2,127.30
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|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-25,728.70
|
-919.40
|
-25,728.70
|
-919.40
|
|
RESERVE ASSETS
|
14,193.00
|
447.10
|
-86,606.90
|
-3,046.70
|
-72,413.90
|
-2,599.60
|
Used exchange rate of USD = 30.489 SKK