Data for the period
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|
Slovak Republic - Balance of Payments - January to July 2006
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|
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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
|
mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
666,738.00
|
21,823.06
|
705,959.00
|
23,106.80
|
-39,221.00
|
-1,283.75
|
|
SERVICES
|
88,159.02
|
2,885.54
|
76,740.83
|
2,511.81
|
11,418.19
|
373.73
|
|
Transportation
|
30,917.80
|
1,011.97
|
19,731.27
|
645.83
|
11,186.53
|
366.15
|
|
Travel
|
24,858.11
|
813.63
|
17,354.83
|
568.04
|
7,503.27
|
245.59
|
|
Other services total
|
32,383.11
|
1,059.93
|
39,654.73
|
1,297.94
|
-7,271.62
|
-238.01
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INCOME
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37,346.48
|
1,222.39
|
88,148.99
|
2,885.21
|
-50,802.52
|
-1,662.82
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|
Compensation of employees
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18,200.00
|
595.71
|
836.30
|
27.37
|
17,363.70
|
568.33
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|
Investment income
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19,146.48
|
626.68
|
87,312.69
|
2,857.84
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-68,166.22
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-2,231.15
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CURRENT TRANSFERS
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30,671.83
|
1,003.92
|
27,783.35
|
909.38
|
2,888.48
|
94.54
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|
CURRENT ACCOUNT
|
822,915.32
|
26,934.91
|
898,632.17
|
29,413.20
|
-75,716.85
|
-2,478.29
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|
CAPITAL ACCOUNT
|
872.33
|
28.55
|
1,100.84
|
36.03
|
-228.51
|
-7.48
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FINANCIAL ACCOUNT
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3,486,338.56
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114,073.81
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-3,510,719.58
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-114,894.88
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-24,381.02
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-821.08
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DIRECT INVESTMENT
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587,106.86
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19,216.64
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-495,712.18
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-16,225.20
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91,394.68
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2,991.45
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ABROAD
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21,368.40
|
699.41
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-30,384.53
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-994.52
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-9,016.13
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-295.11
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Equity capital
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251.66
|
8.24
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-5,850.43
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-191.49
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-5,598.77
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-183.25
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Reinvested earnings
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0.00
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0.00
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-2,792.30
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-91.39
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-2,792.30
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-91.39
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Other capital
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21,116.74
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691.17
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-21,741.80
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-711.63
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-625.06
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-20.46
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In SR
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565,738.46
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18,517.23
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-465,327.65
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-15,230.68
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100,410.81
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3,286.55
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Equity capital
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51,572.58
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1,688.03
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-4,308.97
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-141.04
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47,263.61
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1,546.99
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Reinvested earnings
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19,192.43
|
628.19
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0.00
|
0.00
|
19,192.43
|
628.19
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Other capital
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494,973.45
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16,201.02
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-461,018.68
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-15,089.64
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33,954.77
|
1,111.38
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PORTFOLIO INVESTMENT
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363,314.07
|
11,864.59
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-328,626.12
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-10,756.29
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34,687.95
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1,108.30
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Assets
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44,317.07
|
1,450.55
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-46,726.34
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-1,529.40
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-2,409.27
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-78.86
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Liabilities
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318,997.01
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10,414.04
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-281,899.79
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-9,226.88
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37,097.22
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1,187.16
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FINANCIAL DERIVATES
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991,647.43
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32,457.69
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-993,980.79
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-32,534.07
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-2,333.36
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-76.37
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Assets
|
441,463.38
|
14,449.57
|
-444,417.85
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-14,546.28
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-2,954.47
|
-96.70
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Liabilities
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550,184.05
|
18,008.12
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-549,562.95
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-17,987.79
|
621.10
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20.33
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OTHER INVESTMENT
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1,544,270.20
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50,534.89
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-1,692,400.48
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-55,379.33
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-148,130.29
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-4,844.45
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Long-term
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217,491.47
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7,117.94
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-201,070.42
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-6,581.38
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16,421.05
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536.57
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Assets
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49,942.57
|
1,633.89
|
-44,320.88
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-1,450.73
|
5,621.70
|
183.16
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Liabilities
|
167,548.89
|
5,484.06
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-156,749.54
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-5,130.65
|
10,799.35
|
353.41
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Short-term
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1,326,778.73
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43,416.94
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-1,491,330.07
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-48,797.96
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-164,551.34
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-5,381.02
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|
Assets
|
807,224.00
|
26,421.31
|
-871,423.26
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-28,522.63
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-64,199.26
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-2,101.31
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Liabilities
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519,554.73
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16,995.63
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-619,906.81
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-20,275.33
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-100,352.08
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-3,279.71
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CAPITAL AND FINANCIAL ACCOUNT
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3,487,210.89
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114,102.36
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-3,511,820.43
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-114,930.92
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-24,609.53
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-828.56
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ERRORS AND OMISSIONS
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|
|
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15,482.38
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495.85
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OVERALL BALANCE
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-171,118.60
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-5,583.10
|
86,274.60
|
2,772.10
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-84,844.00
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-2,811.00
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MONETARY GOLD
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0.00
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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
|
0.00
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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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171,118.60
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5,583.10
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-86,274.60
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-2,772.10
|
84,844.00
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2,811.00
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|
CURRENCY AND DEPOSIT
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0.00
|
0.00
|
-86,274.60
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-2,772.10
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-86,274.60
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-2,772.10
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SECURITIES
|
171,118.60
|
5,583.10
|
0.00
|
0.00
|
171,118.60
|
5,583.10
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|
Bonds and notes
|
81,299.40
|
2,665.90
|
0.00
|
0.00
|
81,299.40
|
2,665.90
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|
Money market instr. and financial derivates
|
89,819.20
|
2,917.20
|
0.00
|
0.00
|
89,819.20
|
2,917.20
|
|
RESERVE ASSETS
|
171,118.60
|
5,583.10
|
-86,274.60
|
-2,772.10
|
84,844.00
|
2,811.00
|
Used exchange rate of USD = 30.552 SKK