Data for the period
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|
Slovak Republic - Balance of Payments - January 2006
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Revision December 2008
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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
|
80,788.00
|
2,603.63
|
88,181.00
|
2,841.89
|
-7,393.00
|
-238.26
|
|
SERVICES
|
11,741.73
|
378.41
|
10,844.03
|
349.48
|
897.70
|
28.93
|
|
Transportation
|
4,265.66
|
137.47
|
2,973.68
|
95.84
|
1,291.99
|
41.64
|
|
Travel
|
3,037.23
|
97.88
|
2,083.80
|
67.16
|
953.44
|
30.73
|
|
Other services total
|
4,438.83
|
143.05
|
5,786.56
|
186.49
|
-1,347.73
|
-43.43
|
|
INCOME
|
6,039.40
|
194.64
|
5,907.94
|
190.40
|
131.46
|
4.24
|
|
Compensation of employees
|
2,600.00
|
83.79
|
146.09
|
4.71
|
2,453.91
|
79.08
|
|
Investment income
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3,439.40
|
110.84
|
5,761.84
|
185.69
|
-2,322.45
|
-74.85
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CURRENT TRANSFERS
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3,129.60
|
100.86
|
4,024.00
|
129.69
|
-894.40
|
-28.82
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|
CURRENT ACCOUNT
|
101,698.72
|
3,277.54
|
108,956.97
|
3,511.46
|
-7,258.25
|
-233.92
|
|
CAPITAL ACCOUNT
|
91.68
|
2.95
|
179.49
|
5.78
|
-87.82
|
-2.83
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|
FINANCIAL ACCOUNT
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475,124.81
|
15,313.02
|
-472,609.14
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-15,231.19
|
2,515.66
|
81.83
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DIRECT INVESTMENT
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73,123.58
|
2,356.62
|
-62,544.47
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-2,015.68
|
10,579.11
|
340.94
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ABROAD
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1,243.77
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40.08
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-2,447.20
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-78.87
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-1,203.43
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-38.78
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|
Equity capital
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1.00
|
0.03
|
-345.93
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-11.15
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-344.93
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-11.12
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|
Reinvested earnings
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0.00
|
0.00
|
-398.90
|
-12.86
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-398.90
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-12.86
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Other capital
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1,242.77
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40.05
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-1,702.37
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-54.86
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-459.60
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-14.81
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In SR
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71,879.81
|
2,316.54
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-60,097.27
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-1,936.81
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11,782.54
|
379.73
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Equity capital
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1,391.94
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44.86
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-106.32
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-3.43
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1,285.63
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41.43
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Reinvested earnings
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2,741.78
|
88.36
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0.00
|
0.00
|
2,741.78
|
88.36
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Other capital
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67,746.09
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2,183.32
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-59,990.96
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-1,933.38
|
7,755.14
|
249.93
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PORTFOLIO INVESTMENT
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47,971.20
|
1,546.01
|
-34,803.75
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-1,121.65
|
13,167.46
|
424.36
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Assets
|
8,392.16
|
270.46
|
-9,929.50
|
-320.01
|
-1,537.34
|
-49.55
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Liabilities
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39,579.04
|
1,275.55
|
-24,874.25
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-801.65
|
14,704.79
|
473.90
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FINANCIAL DERIVATES
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153,535.81
|
4,948.14
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-153,457.55
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-4,945.62
|
78.27
|
2.52
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|
Assets
|
76,703.81
|
2,472.00
|
-76,379.47
|
-2,461.55
|
324.33
|
10.45
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Liabilities
|
76,832.01
|
2,476.14
|
-77,078.07
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-2,484.07
|
-246.07
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-7.93
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OTHER INVESTMENT
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200,494.21
|
6,462.24
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-221,803.38
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-7,148.24
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-21,309.17
|
-686.00
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|
Long-term
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80,136.90
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2,582.56
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-72,891.83
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-2,349.13
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7,245.08
|
233.43
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Assets
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14,511.05
|
467.58
|
-13,152.17
|
-423.87
|
1,358.88
|
43.71
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Liabilities
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65,625.85
|
2,114.98
|
-59,739.66
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-1,925.27
|
5,886.19
|
189.72
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Short-term
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120,357.30
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3,879.68
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-148,911.55
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-4,799.11
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-28,554.25
|
-919.42
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|
Assets
|
43,917.42
|
1,415.37
|
-50,725.31
|
-1,634.77
|
-6,807.90
|
-219.40
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|
Liabilities
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76,439.89
|
2,464.32
|
-98,186.24
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-3,164.34
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-21,746.35
|
-700.02
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CAPITAL AND FINANCIAL ACCOUNT
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475,216.48
|
15,315.97
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-472,788.64
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-15,236.97
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2,427.85
|
79.00
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ERRORS AND OMISSIONS
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|
|
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4,687.00
|
150.92
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|
OVERALL BALANCE
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-48,364.20
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-1,538.70
|
48,220.80
|
1,534.70
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-143.40
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-4.00
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|
MONETARY GOLD
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0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
|
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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48,364.20
|
1,538.70
|
-48,220.80
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-1,534.70
|
143.40
|
4.00
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|
CURRENCY AND DEPOSIT
|
2,162.20
|
68.80
|
0.00
|
0.00
|
2,162.20
|
68.80
|
|
SECURITIES
|
46,202.00
|
1,469.90
|
-48,220.80
|
-1,534.70
|
-2,018.80
|
-64.80
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|
Bonds and notes
|
0.00
|
0.00
|
-48,220.80
|
-1,534.70
|
-48,220.80
|
-1,534.70
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|
Money market instr. and financial derivates
|
46,202.00
|
1,469.90
|
0.00
|
0.00
|
46,202.00
|
1,469.90
|
|
RESERVE ASSETS
|
48,364.20
|
1,538.70
|
-48,220.80
|
-1,534.70
|
143.40
|
4.00
|
Used exchange rate of USD = 31.029 SKK