Data for the period
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|
Slovak Republic - Balance of Payments - January to November 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
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mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
907,797.00
|
29,342.46
|
955,741.00
|
30,892.14
|
-47,944.00
|
-1,549.68
|
|
SERVICES
|
122,949.58
|
3,974.06
|
113,249.23
|
3,660.52
|
9,700.35
|
313.54
|
|
Transportation
|
44,967.59
|
1,453.47
|
34,242.29
|
1,106.80
|
10,725.29
|
346.67
|
|
Travel
|
33,860.53
|
1,094.46
|
24,053.66
|
777.48
|
9,806.87
|
316.98
|
|
Other services total
|
44,121.47
|
1,426.13
|
54,953.28
|
1,776.24
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-10,831.81
|
-350.11
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INCOME
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45,445.15
|
1,468.91
|
89,602.94
|
2,896.21
|
-44,157.79
|
-1,427.30
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|
Compensation of employees
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26,850.00
|
867.86
|
1,023.43
|
33.08
|
25,826.57
|
834.78
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Investment income
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18,595.15
|
601.05
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88,579.51
|
2,863.13
|
-69,984.36
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-2,262.08
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CURRENT TRANSFERS
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38,732.65
|
1,251.94
|
38,149.54
|
1,233.10
|
583.11
|
18.85
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|
CURRENT ACCOUNT
|
1,114,924.38
|
36,037.38
|
1,196,742.71
|
38,681.97
|
-81,818.33
|
-2,644.59
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|
CAPITAL ACCOUNT
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435.41
|
14.07
|
835.56
|
27.01
|
-400.15
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-12.93
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FINANCIAL ACCOUNT
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3,846,015.89
|
124,310.25
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-3,696,770.98
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-119,528.44
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149,244.91
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4,781.80
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DIRECT INVESTMENT
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717,201.30
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23,181.89
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-655,920.30
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-21,201.12
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61,281.00
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1,980.77
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ABROAD
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43,084.20
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1,392.60
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-46,701.00
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-1,509.50
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-3,616.80
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-116.90
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Equity capital
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667.40
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21.57
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-3,401.90
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-109.96
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-2,734.50
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-88.39
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Reinvested earnings
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0.00
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0.00
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-88.20
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-2.85
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-88.20
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-2.85
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Other capital
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42,416.80
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1,371.03
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-43,210.90
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-1,396.69
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-794.10
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-25.67
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In SR
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674,117.10
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21,789.29
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-609,219.30
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-19,691.62
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64,897.80
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2,097.67
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Equity capital
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21,947.80
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709.41
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-5,354.80
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-173.08
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16,593.00
|
536.33
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Reinvested earnings
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24,832.60
|
802.66
|
0.00
|
0.00
|
24,832.60
|
802.66
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Other capital
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627,336.70
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20,277.22
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-603,864.50
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-19,518.54
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23,472.20
|
758.69
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PORTFOLIO INVESTMENT
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731,721.08
|
23,651.21
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-755,558.42
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-24,427.16
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-23,837.34
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-775.96
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Assets
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56,738.87
|
1,833.95
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-77,697.49
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-2,511.39
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-20,958.62
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-677.44
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Liabilities
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674,982.21
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21,817.25
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-677,860.93
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-21,915.77
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-2,878.72
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-98.52
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FINANCIAL DERIVATES
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1,069,007.13
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34,553.21
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-1,070,010.01
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-34,585.62
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-1,002.88
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-32.42
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Assets
|
444,404.63
|
14,364.36
|
-448,556.62
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-14,498.57
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-4,151.99
|
-134.20
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Liabilities
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624,602.50
|
20,188.85
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-621,453.39
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-20,087.06
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3,149.11
|
101.79
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OTHER INVESTMENT
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1,328,086.37
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42,923.94
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-1,215,282.25
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-39,314.53
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112,804.12
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3,609.41
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Long-term
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123,525.45
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3,989.82
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-130,727.66
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-4,260.11
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-7,202.21
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-270.29
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|
Assets
|
34,103.63
|
1,101.45
|
-41,461.89
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-1,340.23
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-7,358.26
|
-238.78
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Liabilities
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89,421.82
|
2,888.37
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-89,265.77
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-2,919.88
|
156.05
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-31.51
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Short-term
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1,204,560.92
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38,934.12
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-1,084,554.59
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-35,054.42
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120,006.33
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3,879.70
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Assets
|
469,197.37
|
15,165.73
|
-483,453.49
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-15,626.53
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-14,256.12
|
-460.80
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Liabilities
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735,363.55
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23,768.39
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-601,101.10
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-19,427.90
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134,262.45
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4,340.49
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CAPITAL AND FINANCIAL ACCOUNT
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3,846,451.30
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124,324.32
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-3,697,606.54
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-119,555.45
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148,844.76
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4,768.87
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ERRORS AND OMISSIONS
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2,341.58
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383.62
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OVERALL BALANCE
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-22,570.40
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-720.60
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91,938.40
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3,228.50
|
69,368.00
|
2,507.90
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MONETARY GOLD
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0.00
|
0.00
|
0.00
|
0.00
|
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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-0.20
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0.00
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-0.20
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0.00
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FOREIGN EXCHANGE
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22,570.40
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720.60
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-91,938.20
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-3,228.50
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-69,367.80
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-2,507.90
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CURRENCY AND DEPOSIT
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22,570.40
|
720.60
|
0.00
|
0.00
|
22,570.40
|
720.60
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|
SECURITIES
|
0.00
|
0.00
|
-91,938.20
|
-3,228.50
|
-91,938.20
|
-3,228.50
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|
Bonds and notes
|
0.00
|
0.00
|
-73,041.00
|
-2,533.40
|
-73,041.00
|
-2,533.40
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|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-18,897.20
|
-695.10
|
-18,897.20
|
-695.10
|
|
RESERVE ASSETS
|
22,570.40
|
720.60
|
-91,938.40
|
-3,228.50
|
-69,368.00
|
-2,507.90
|
Used exchange rate of USD = 30.938 SKK