Data for the period
|
|
Slovak Republic - Balance of Payments - January to April 2006
|
|
|
Revision December 2008
|
|
Receipts/Credit (+)
|
Expenditures/Debit (-)
|
Balance
|
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
|
|
GOODS
|
354,775.00
|
11,433.29
|
383,019.00
|
12,343.51
|
-28,244.00
|
-910.22
|
|
SERVICES
|
47,422.64
|
1,528.28
|
39,671.40
|
1,278.49
|
7,751.24
|
249.80
|
|
Transportation
|
17,511.05
|
564.33
|
10,690.25
|
344.51
|
6,820.80
|
219.81
|
|
Travel
|
13,444.62
|
433.28
|
8,761.02
|
282.34
|
4,683.60
|
150.94
|
|
Other services total
|
16,466.98
|
530.68
|
20,220.13
|
651.63
|
-3,753.15
|
-120.95
|
|
INCOME
|
19,581.94
|
631.06
|
26,245.13
|
845.80
|
-6,663.20
|
-214.73
|
|
Compensation of employees
|
10,400.00
|
335.16
|
481.87
|
15.53
|
9,918.13
|
319.63
|
|
Investment income
|
9,181.94
|
295.91
|
25,763.27
|
830.27
|
-16,581.33
|
-534.36
|
|
CURRENT TRANSFERS
|
14,975.98
|
482.63
|
17,685.83
|
569.96
|
-2,709.85
|
-87.33
|
|
CURRENT ACCOUNT
|
436,755.55
|
14,075.27
|
466,621.36
|
15,037.75
|
-29,865.81
|
-962.48
|
|
CAPITAL ACCOUNT
|
508.73
|
16.39
|
839.73
|
27.06
|
-330.99
|
-10.67
|
|
FINANCIAL ACCOUNT
|
1,894,039.76
|
61,028.56
|
-1,847,044.00
|
-59,517.76
|
46,995.75
|
1,510.80
|
|
DIRECT INVESTMENT
|
307,133.02
|
9,897.94
|
-252,326.00
|
-8,131.68
|
54,807.02
|
1,766.26
|
|
ABROAD
|
10,487.55
|
337.98
|
-13,554.76
|
-436.83
|
-3,067.21
|
-98.85
|
|
Equity capital
|
122.20
|
3.94
|
-641.04
|
-20.66
|
-518.85
|
-16.72
|
|
Reinvested earnings
|
0.00
|
0.00
|
-1,595.60
|
-51.42
|
-1,595.60
|
-51.42
|
|
Other capital
|
10,365.35
|
334.04
|
-11,318.12
|
-364.75
|
-952.76
|
-30.70
|
|
In SR
|
296,645.47
|
9,559.96
|
-238,771.24
|
-7,694.85
|
57,874.23
|
1,865.11
|
|
Equity capital
|
42,458.26
|
1,368.30
|
-1,410.81
|
-45.47
|
41,047.45
|
1,322.83
|
|
Reinvested earnings
|
10,967.10
|
353.44
|
0.00
|
0.00
|
10,967.10
|
353.44
|
|
Other capital
|
243,220.11
|
7,838.22
|
-237,360.43
|
-7,649.39
|
5,859.68
|
188.84
|
|
PORTFOLIO INVESTMENT
|
189,698.85
|
6,105.27
|
-146,573.37
|
-4,723.60
|
43,125.49
|
1,381.66
|
|
Assets
|
26,141.87
|
842.47
|
-30,098.47
|
-969.98
|
-3,956.60
|
-127.51
|
|
Liabilities
|
163,556.98
|
5,262.80
|
-116,474.90
|
-3,753.62
|
47,082.08
|
1,509.17
|
|
FINANCIAL DERIVATES
|
574,425.99
|
18,511.96
|
-574,556.04
|
-18,516.15
|
-130.05
|
-4.19
|
|
Assets
|
266,641.31
|
8,593.02
|
-266,044.95
|
-8,573.80
|
596.36
|
19.22
|
|
Liabilities
|
307,784.68
|
9,918.94
|
-308,511.09
|
-9,942.35
|
-726.40
|
-23.41
|
|
OTHER INVESTMENT
|
822,781.89
|
26,513.40
|
-873,588.60
|
-28,146.33
|
-50,806.71
|
-1,632.93
|
|
Long-term
|
121,630.15
|
3,919.28
|
-109,757.32
|
-3,537.14
|
11,872.83
|
382.15
|
|
Assets
|
35,945.48
|
1,157.93
|
-36,968.52
|
-1,191.35
|
-1,023.04
|
-33.42
|
|
Liabilities
|
85,684.67
|
2,761.35
|
-72,788.80
|
-2,345.78
|
12,895.87
|
415.57
|
|
Short-term
|
701,151.73
|
22,594.12
|
-763,831.28
|
-24,609.20
|
-62,679.54
|
-2,015.08
|
|
Assets
|
410,695.96
|
13,235.45
|
-427,187.71
|
-13,766.93
|
-16,491.75
|
-531.48
|
|
Liabilities
|
290,455.77
|
9,358.67
|
-336,643.57
|
-10,842.27
|
-46,187.79
|
-1,483.60
|
|
CAPITAL AND FINANCIAL ACCOUNT
|
1,894,548.49
|
61,044.96
|
-1,847,883.73
|
-59,544.82
|
46,664.76
|
1,500.13
|
|
ERRORS AND OMISSIONS
|
|
|
|
|
9,301.55
|
302.65
|
|
OVERALL BALANCE
|
-47,879.70
|
-1,544.20
|
73,980.20
|
2,384.50
|
26,100.50
|
840.30
|
|
MONETARY GOLD
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
|
SPECIAL DRAWING RIGHTS
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
|
FOREIGN EXCHANGE
|
47,879.70
|
1,544.20
|
-73,980.20
|
-2,384.50
|
-26,100.50
|
-840.30
|
|
CURRENCY AND DEPOSIT
|
0.00
|
0.00
|
-15,696.80
|
-506.00
|
-15,696.80
|
-506.00
|
|
SECURITIES
|
47,879.70
|
1,544.20
|
-58,283.40
|
-1,878.50
|
-10,403.70
|
-334.30
|
|
Bonds and notes
|
0.00
|
0.00
|
-58,283.40
|
-1,878.50
|
-58,283.40
|
-1,878.50
|
|
Money market instr. and financial derivates
|
47,879.70
|
1,544.20
|
0.00
|
0.00
|
47,879.70
|
1,544.20
|
|
RESERVE ASSETS
|
47,879.70
|
1,544.20
|
-73,980.20
|
-2,384.50
|
-26,100.50
|
-840.30
|
Used exchange rate of USD = 31.030 SKK