Data for the period
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|
Slovak Republic - Balance of Payments - January to August 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
|
mil. SKK
|
mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
772,152.00
|
25,396.40
|
815,070.00
|
26,807.99
|
-42,918.00
|
-1,411.59
|
|
SERVICES
|
102,197.05
|
3,361.30
|
89,324.10
|
2,937.91
|
12,872.95
|
423.40
|
|
Transportation
|
35,229.09
|
1,158.70
|
22,718.59
|
747.22
|
12,510.50
|
411.48
|
|
Travel
|
29,617.55
|
974.13
|
20,737.37
|
682.06
|
8,880.18
|
292.07
|
|
Other services total
|
37,350.41
|
1,228.47
|
45,868.14
|
1,508.62
|
-8,517.73
|
-280.15
|
|
INCOME
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41,897.27
|
1,378.02
|
93,799.40
|
3,085.10
|
-51,902.13
|
-1,707.08
|
|
Compensation of employees
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20,800.00
|
684.12
|
930.55
|
30.61
|
19,869.45
|
653.51
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|
Investment income
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21,097.27
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693.90
|
92,868.85
|
3,054.49
|
-71,771.58
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-2,360.60
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|
CURRENT TRANSFERS
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33,444.95
|
1,100.02
|
31,874.72
|
1,048.37
|
1,570.24
|
51.65
|
|
CURRENT ACCOUNT
|
949,691.27
|
31,235.73
|
1,030,068.22
|
33,879.37
|
-80,376.95
|
-2,643.63
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|
CAPITAL ACCOUNT
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939.60
|
30.90
|
1,188.03
|
39.07
|
-248.43
|
-8.17
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FINANCIAL ACCOUNT
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4,074,033.75
|
133,953.01
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-4,083,847.00
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-134,301.68
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-9,813.25
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-348.68
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DIRECT INVESTMENT
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673,285.93
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22,144.65
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-582,209.62
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-19,149.11
|
91,076.31
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2,995.54
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ABROAD
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24,367.79
|
801.47
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-37,507.50
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-1,233.64
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-13,139.71
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-432.17
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Equity capital
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286.05
|
9.41
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-8,948.15
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-294.31
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-8,662.10
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-284.90
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Reinvested earnings
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0.00
|
0.00
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-3,191.20
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-104.96
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-3,191.20
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-104.96
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Other capital
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24,081.74
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792.06
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-25,368.15
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-834.37
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-1,286.41
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-42.31
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In SR
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648,918.14
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21,343.18
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-544,702.12
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-17,915.48
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104,216.02
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3,427.71
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Equity capital
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54,675.67
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1,798.31
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-4,461.98
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-146.76
|
50,213.68
|
1,651.55
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Reinvested earnings
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21,934.20
|
721.42
|
0.00
|
0.00
|
21,934.20
|
721.42
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Other capital
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572,308.27
|
18,823.45
|
-540,240.14
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-17,768.72
|
32,068.14
|
1,054.73
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PORTFOLIO INVESTMENT
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447,120.82
|
14,672.93
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-396,477.14
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-13,040.30
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50,643.68
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1,632.63
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Assets
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48,575.41
|
1,597.67
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-53,361.53
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-1,755.08
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-4,786.12
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-157.42
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Liabilities
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398,545.41
|
13,075.26
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-343,115.61
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-11,285.21
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55,429.80
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1,790.05
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FINANCIAL DERIVATES
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1,188,969.38
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39,105.69
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-1,192,076.15
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-39,207.87
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-3,106.77
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-102.18
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Assets
|
546,663.68
|
17,979.99
|
-550,624.59
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-18,110.27
|
-3,960.91
|
-130.28
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Liabilities
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642,305.70
|
21,125.70
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-641,451.56
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-21,097.60
|
854.14
|
28.09
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OTHER INVESTMENT
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1,764,657.63
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58,029.74
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-1,913,084.09
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-62,904.40
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-148,426.47
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-4,874.66
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Long-term
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272,868.80
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8,973.82
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-254,178.63
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-8,359.80
|
18,690.17
|
614.02
|
|
Assets
|
64,627.21
|
2,124.67
|
-59,422.75
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-1,954.49
|
5,204.46
|
170.18
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Liabilities
|
208,241.59
|
6,849.15
|
-194,755.88
|
-6,405.30
|
13,485.71
|
443.85
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|
Short-term
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1,491,788.83
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49,055.92
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-1,658,905.46
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-54,544.60
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-167,116.63
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-5,488.69
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|
Assets
|
889,005.00
|
29,239.74
|
-962,768.15
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-31,665.84
|
-73,763.15
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-2,426.10
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Liabilities
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602,783.83
|
19,816.18
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-696,137.31
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-22,878.77
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-93,353.48
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-3,062.59
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CAPITAL AND FINANCIAL ACCOUNT
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4,074,973.35
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133,983.91
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-4,085,035.03
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-134,340.76
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-10,061.68
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-356.85
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ERRORS AND OMISSIONS
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|
|
|
|
7,975.83
|
271.88
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OVERALL BALANCE
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-123,211.30
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-4,052.70
|
40,748.50
|
1,324.10
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-82,462.80
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-2,728.60
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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
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
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FOREIGN EXCHANGE
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123,211.30
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4,052.70
|
-40,748.50
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-1,324.10
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82,462.80
|
2,728.60
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|
CURRENCY AND DEPOSIT
|
0.00
|
0.00
|
-40,748.50
|
-1,324.10
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-40,748.50
|
-1,324.10
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|
SECURITIES
|
123,211.30
|
4,052.70
|
0.00
|
0.00
|
123,211.30
|
4,052.70
|
|
Bonds and notes
|
75,318.40
|
2,479.10
|
0.00
|
0.00
|
75,318.40
|
2,479.10
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|
Money market instr. and financial derivates
|
47,892.90
|
1,573.60
|
0.00
|
0.00
|
47,892.90
|
1,573.60
|
|
RESERVE ASSETS
|
123,211.30
|
4,052.70
|
-40,748.50
|
-1,324.10
|
82,462.80
|
2,728.60
|
Used exchange rate of USD = 30.404 SKK