Data for the period
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|
Slovak Republic - Balance of Payments - January to December 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
|
mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
1,232,887.00
|
41,477.83
|
1,308,143.00
|
44,009.66
|
-75,256.00
|
-2,531.83
|
|
SERVICES
|
160,636.51
|
5,404.27
|
138,182.03
|
4,648.84
|
22,454.47
|
755.43
|
|
Transportation
|
56,524.89
|
1,901.66
|
35,285.24
|
1,187.10
|
21,239.65
|
714.56
|
|
Travel
|
44,985.24
|
1,513.43
|
31,349.43
|
1,054.68
|
13,635.82
|
458.75
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|
Other services total
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59,126.38
|
1,989.18
|
71,547.37
|
2,407.06
|
-12,421.00
|
-417.88
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INCOME
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61,032.75
|
2,053.32
|
134,718.51
|
4,532.31
|
-73,685.75
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-2,479.00
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|
Compensation of employees
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32,200.00
|
1,083.30
|
1,412.85
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47.53
|
30,787.15
|
1,035.77
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|
Investment income
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28,832.75
|
970.02
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133,305.65
|
4,484.78
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-104,472.90
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-3,514.77
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CURRENT TRANSFERS
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48,169.19
|
1,620.55
|
49,784.84
|
1,674.90
|
-1,615.65
|
-54.36
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|
CURRENT ACCOUNT
|
1,502,725.45
|
50,555.96
|
1,630,828.38
|
54,865.71
|
-128,102.93
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-4,309.75
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CAPITAL ACCOUNT
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1,117.50
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37.60
|
2,333.58
|
78.51
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-1,216.08
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-40.91
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FINANCIAL ACCOUNT
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6,639,880.84
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223,299.42
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-6,594,980.01
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-221,843.08
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44,900.83
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1,456.35
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DIRECT INVESTMENT
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1,097,782.60
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36,932.53
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-973,609.50
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-32,755.00
|
124,173.10
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4,177.54
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ABROAD
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40,927.60
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1,376.92
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-56,113.80
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-1,887.83
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-15,186.20
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-510.91
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Equity capital
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5,512.20
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185.45
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-14,924.50
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-502.10
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-9,412.30
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-316.66
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Reinvested earnings
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0.00
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0.00
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-4,786.80
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-161.04
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-4,786.80
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-161.04
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Other capital
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35,415.40
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1,191.47
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-36,402.50
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-1,224.68
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-987.10
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-33.21
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In SR
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1,056,855.00
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35,555.61
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-917,495.70
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-30,867.17
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139,359.30
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4,688.44
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Equity capital
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70,177.40
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2,360.97
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-5,890.90
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-198.19
|
64,286.50
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2,162.78
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Reinvested earnings
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32,901.30
|
1,106.89
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0.00
|
0.00
|
32,901.30
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1,106.89
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Other capital
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953,776.30
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32,087.75
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-911,604.80
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-30,668.98
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42,171.50
|
1,418.77
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PORTFOLIO INVESTMENT
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685,307.49
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22,994.37
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-637,072.10
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-21,432.92
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48,235.39
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1,561.45
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Assets
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73,482.69
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2,472.17
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-79,135.01
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-2,662.33
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-5,652.33
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-190.16
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Liabilities
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611,824.80
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20,522.20
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-557,937.08
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-18,770.59
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53,887.72
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1,751.61
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FINANCIAL DERIVATES
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2,027,091.80
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68,197.14
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-2,031,909.55
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-68,359.22
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-4,817.75
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-162.08
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Assets
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994,180.70
|
33,447.07
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-1,006,578.32
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-33,864.16
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-12,397.61
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-417.09
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Liabilities
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1,032,911.10
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34,750.07
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-1,025,331.24
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-34,495.06
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7,579.86
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255.01
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OTHER INVESTMENT
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2,829,698.95
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95,175.38
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-2,952,388.86
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-99,295.94
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-122,689.90
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-4,120.56
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Long-term
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517,314.59
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17,403.42
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-498,706.78
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-16,775.76
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18,607.81
|
627.66
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Assets
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100,234.23
|
3,370.75
|
-94,953.25
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-3,194.53
|
5,280.98
|
176.21
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Liabilities
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417,080.36
|
14,032.67
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-403,753.54
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-13,581.22
|
13,326.83
|
451.45
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Short-term
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2,312,384.36
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77,771.96
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-2,453,682.08
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-82,520.18
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-141,297.72
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-4,748.22
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Assets
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1,385,332.00
|
46,606.51
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-1,423,753.52
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-47,899.12
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-38,421.52
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-1,292.61
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Liabilities
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927,052.36
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31,165.45
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-1,029,928.56
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-34,621.06
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-102,876.20
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-3,455.61
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CAPITAL AND FINANCIAL ACCOUNT
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6,640,998.34
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223,337.02
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-6,597,313.59
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-221,921.58
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43,684.75
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1,415.43
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ERRORS AND OMISSIONS
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|
|
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|
6,322.28
|
327.21
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OVERALL BALANCE
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-78,095.90
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-2,567.10
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0.00
|
0.00
|
-78,095.90
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-2,567.10
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|
MONETARY GOLD
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0.00
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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
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0.00
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FOREIGN EXCHANGE
|
78,095.90
|
2,567.10
|
0.00
|
0.00
|
78,095.90
|
2,567.10
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|
CURRENCY AND DEPOSIT
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4,674.90
|
152.90
|
0.00
|
0.00
|
4,674.90
|
152.90
|
|
SECURITIES
|
73,421.00
|
2,414.20
|
0.00
|
0.00
|
73,421.00
|
2,414.20
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|
Bonds and notes
|
68,333.00
|
2,286.40
|
0.00
|
0.00
|
68,333.00
|
2,286.40
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|
Money market instr. and financial derivates
|
5,088.00
|
127.80
|
0.00
|
0.00
|
5,088.00
|
127.80
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|
RESERVE ASSETS
|
78,095.90
|
2,567.10
|
0.00
|
0.00
|
78,095.90
|
2,567.10
|
Used exchange rate of USD = 29.724 SKK