Data for the period
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|
Slovak Republic - Balance of Payments - January to May 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
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mil. SKK
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mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
458,076.00
|
14,916.18
|
492,486.00
|
16,036.67
|
-34,410.00
|
-1,120.48
|
|
SERVICES
|
60,878.81
|
1,982.38
|
51,905.47
|
1,690.18
|
8,973.34
|
292.20
|
|
Transportation
|
22,049.02
|
717.98
|
13,563.15
|
441.65
|
8,485.87
|
276.32
|
|
Travel
|
16,995.19
|
553.41
|
11,297.27
|
367.87
|
5,697.92
|
185.54
|
|
Other services total
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21,834.60
|
710.99
|
27,045.05
|
880.66
|
-5,210.45
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-169.67
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INCOME
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24,459.25
|
796.46
|
45,659.39
|
1,486.79
|
-21,200.14
|
-690.33
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Compensation of employees
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13,000.00
|
423.31
|
602.47
|
19.62
|
12,397.53
|
403.70
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Investment income
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11,459.25
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373.14
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45,056.91
|
1,467.17
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-33,597.67
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-1,094.03
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CURRENT TRANSFERS
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19,391.39
|
631.44
|
20,574.42
|
669.96
|
-1,183.03
|
-38.52
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|
CURRENT ACCOUNT
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562,805.45
|
18,326.46
|
610,625.28
|
19,883.60
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-47,819.83
|
-1,557.14
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|
CAPITAL ACCOUNT
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571.06
|
18.60
|
950.05
|
30.94
|
-378.99
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-12.34
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FINANCIAL ACCOUNT
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2,423,341.36
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78,881.83
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-2,369,658.15
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-77,150.71
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53,683.21
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1,731.12
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DIRECT INVESTMENT
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384,010.44
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12,504.41
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-327,925.50
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-10,678.13
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56,084.94
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1,826.28
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ABROAD
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13,782.81
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448.81
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-17,937.33
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-584.09
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-4,154.52
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-135.28
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Equity capital
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148.49
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4.84
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-1,065.77
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-34.70
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-917.28
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-29.87
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Reinvested earnings
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0.00
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0.00
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-1,994.50
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-64.95
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-1,994.50
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-64.95
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Other capital
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13,634.32
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443.97
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-14,877.06
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-484.44
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-1,242.74
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-40.47
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In SR
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370,227.63
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12,055.61
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-309,988.17
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-10,094.05
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60,239.46
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1,961.56
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Equity capital
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44,813.37
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1,459.24
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-1,601.11
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-52.14
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43,212.25
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1,407.11
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Reinvested earnings
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13,708.88
|
446.40
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0.00
|
0.00
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13,708.88
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446.40
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Other capital
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311,705.39
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10,149.96
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-308,387.06
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-10,041.91
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3,318.33
|
108.05
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PORTFOLIO INVESTMENT
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249,159.32
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8,092.55
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-226,646.31
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-7,380.21
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22,513.01
|
712.33
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Assets
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32,187.02
|
1,048.10
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-34,924.21
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-1,137.23
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-2,737.19
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-89.13
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Liabilities
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216,972.30
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7,044.45
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-191,722.10
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-6,242.99
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25,250.20
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801.46
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FINANCIAL DERIVATES
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708,421.78
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23,068.11
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-708,495.97
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-23,070.53
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-74.18
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-2.42
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Assets
|
326,998.93
|
10,647.96
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-328,229.76
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-10,688.04
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-1,230.83
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-40.08
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Liabilities
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381,422.85
|
12,420.15
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-380,266.21
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-12,382.49
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1,156.65
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37.66
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OTHER INVESTMENT
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1,081,749.81
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35,216.76
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-1,106,590.37
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-36,021.83
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-24,840.56
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-805.08
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Long-term
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136,985.98
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4,459.95
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-122,728.34
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-3,996.80
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14,257.63
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463.15
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Assets
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36,679.27
|
1,193.70
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-38,743.41
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-1,261.65
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-2,064.14
|
-67.96
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Liabilities
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100,306.70
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3,266.26
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-83,984.93
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-2,735.14
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16,321.77
|
531.11
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Short-term
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944,763.83
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30,756.81
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-983,862.03
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-32,025.03
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-39,098.19
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-1,268.23
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Assets
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580,738.36
|
18,910.40
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-611,434.25
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-19,909.94
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-30,695.89
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-999.54
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Liabilities
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364,025.47
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11,846.41
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-372,427.78
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-12,115.09
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-8,402.30
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-268.69
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CAPITAL AND FINANCIAL ACCOUNT
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2,423,912.42
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78,900.42
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-2,370,608.20
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-77,181.64
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53,304.22
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1,718.78
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ERRORS AND OMISSIONS
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|
|
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19,398.10
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637.86
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OVERALL BALANCE
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-53,161.20
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-1,738.60
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78,043.70
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2,538.10
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24,882.50
|
799.50
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MONETARY GOLD
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0.00
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0.00
|
0.00
|
0.00
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0.00
|
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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0.00
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0.00
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0.00
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0.00
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FOREIGN EXCHANGE
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53,161.20
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1,738.60
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-78,043.70
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-2,538.10
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-24,882.50
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-799.50
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|
CURRENCY AND DEPOSIT
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0.00
|
0.00
|
-8,754.10
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-284.80
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-8,754.10
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-284.80
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SECURITIES
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53,161.20
|
1,738.60
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-69,289.60
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-2,253.30
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-16,128.40
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-514.70
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|
Bonds and notes
|
0.00
|
0.00
|
-69,289.60
|
-2,253.30
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-69,289.60
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-2,253.30
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|
Money market instr. and financial derivates
|
53,161.20
|
1,738.60
|
0.00
|
0.00
|
53,161.20
|
1,738.60
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|
RESERVE ASSETS
|
53,161.20
|
1,738.60
|
-78,043.70
|
-2,538.10
|
-24,882.50
|
-799.50
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Used exchange rate of USD = 30.710 SKK