Data for the period
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|
Slovak Republic - Balance of Payments - January to October 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
|
|
GOODS
|
1,013,227.00
|
33,559.45
|
1,068,591.00
|
35,393.18
|
-55,364.00
|
-1,833.73
|
|
SERVICES
|
129,063.88
|
4,274.77
|
112,653.75
|
3,731.24
|
16,410.13
|
543.53
|
|
Transportation
|
44,516.78
|
1,474.46
|
28,918.70
|
957.83
|
15,598.08
|
516.63
|
|
Travel
|
36,835.14
|
1,220.03
|
26,365.11
|
873.25
|
10,470.03
|
346.78
|
|
Other services total
|
47,711.95
|
1,580.28
|
57,369.93
|
1,900.17
|
-9,657.98
|
-319.89
|
|
INCOME
|
51,045.26
|
1,690.69
|
115,219.64
|
3,816.23
|
-64,174.38
|
-2,125.54
|
|
Compensation of employees
|
26,000.00
|
861.16
|
1,162.71
|
38.51
|
24,837.29
|
822.64
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|
Investment income
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25,045.26
|
829.53
|
114,056.93
|
3,777.72
|
-89,011.67
|
-2,948.19
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|
CURRENT TRANSFERS
|
38,803.31
|
1,285.22
|
40,180.26
|
1,330.82
|
-1,376.95
|
-45.61
|
|
CURRENT ACCOUNT
|
1,232,139.44
|
40,810.13
|
1,336,644.65
|
44,271.48
|
-104,505.20
|
-3,461.35
|
|
CAPITAL ACCOUNT
|
980.67
|
32.48
|
1,734.01
|
57.43
|
-753.35
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-24.95
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FINANCIAL ACCOUNT
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5,171,850.34
|
171,244.80
|
-5,164,191.97
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-171,025.55
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7,658.36
|
219.25
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DIRECT INVESTMENT
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880,485.39
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29,162.87
|
-772,498.20
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-25,586.19
|
107,987.19
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3,576.68
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ABROAD
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31,951.93
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1,058.29
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-45,682.10
|
-1,513.05
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-13,730.17
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-454.76
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Equity capital
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508.57
|
16.84
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-9,544.36
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-316.12
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-9,035.80
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-299.28
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Reinvested earnings
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0.00
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0.00
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-3,989.00
|
-132.12
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-3,989.00
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-132.12
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Other capital
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31,443.36
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1,041.45
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-32,148.74
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-1,064.81
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-705.37
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-23.36
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In SR
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848,533.46
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28,104.58
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-726,816.10
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-24,073.14
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121,717.35
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4,031.44
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Equity capital
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63,128.77
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2,090.91
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-5,483.67
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-181.63
|
57,645.10
|
1,909.28
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Reinvested earnings
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27,417.75
|
908.11
|
0.00
|
0.00
|
27,417.75
|
908.11
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Other capital
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757,986.93
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25,105.56
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-721,332.43
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-23,891.51
|
36,654.50
|
1,214.05
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PORTFOLIO INVESTMENT
|
561,740.84
|
18,563.88
|
-511,251.27
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-16,933.34
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50,489.57
|
1,630.55
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Assets
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61,227.04
|
2,027.92
|
-62,052.50
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-2,055.26
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-825.45
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-27.34
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Liabilities
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500,513.80
|
16,535.96
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-449,198.77
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-14,878.07
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51,315.03
|
1,657.89
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FINANCIAL DERIVATES
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1,531,409.34
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50,722.35
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-1,534,183.21
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-50,814.23
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-2,773.87
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-91.87
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Assets
|
731,485.17
|
24,227.78
|
-737,304.65
|
-24,420.53
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-5,819.48
|
-192.75
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Liabilities
|
799,924.17
|
26,494.57
|
-796,878.56
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-26,393.70
|
3,045.61
|
100.87
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OTHER INVESTMENT
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2,198,214.77
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72,795.69
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-2,346,259.29
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-77,691.80
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-148,044.52
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-4,896.10
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Long-term
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355,340.75
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11,771.01
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-338,753.54
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-11,219.68
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16,587.20
|
551.33
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|
Assets
|
84,657.02
|
2,802.74
|
-79,243.72
|
-2,624.71
|
5,413.30
|
178.03
|
|
Liabilities
|
270,683.73
|
8,968.27
|
-259,509.82
|
-8,594.97
|
11,173.90
|
373.29
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Short-term
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1,842,874.02
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61,024.68
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-2,007,505.75
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-66,472.11
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-164,631.73
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-5,447.43
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|
Assets
|
1,085,183.00
|
35,942.73
|
-1,154,414.74
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-38,235.78
|
-69,231.74
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-2,293.05
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Liabilities
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757,691.02
|
25,081.95
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-853,091.01
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-28,236.33
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-95,399.99
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-3,154.38
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CAPITAL AND FINANCIAL ACCOUNT
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5,172,831.00
|
171,277.28
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-5,165,925.99
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-171,082.98
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6,905.01
|
194.30
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ERRORS AND OMISSIONS
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|
|
|
|
15,601.89
|
552.86
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|
OVERALL BALANCE
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-81,998.30
|
-2,714.20
|
0.00
|
0.00
|
-81,998.30
|
-2,714.20
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|
MONETARY GOLD
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
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
|
81,998.30
|
2,714.20
|
0.00
|
0.00
|
81,998.30
|
2,714.20
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|
CURRENCY AND DEPOSIT
|
13,265.70
|
439.10
|
0.00
|
0.00
|
13,265.70
|
439.10
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|
SECURITIES
|
68,732.60
|
2,275.10
|
0.00
|
0.00
|
68,732.60
|
2,275.10
|
|
Bonds and notes
|
67,841.60
|
2,245.50
|
0.00
|
0.00
|
67,841.60
|
2,245.50
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|
Money market instr. and financial derivates
|
891.00
|
29.60
|
0.00
|
0.00
|
891.00
|
29.60
|
|
RESERVE ASSETS
|
81,998.30
|
2,714.20
|
0.00
|
0.00
|
81,998.30
|
2,714.20
|
Used exchange rate of USD = 30.192 SKK