Data for the period
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|
Slovak Republic - Balance of Payments - January to June 2007
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Revision November 2007
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Receipts/Credit (+)
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Expenditures/Debit (-)
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Balance
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mil. SKK
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mil. USD
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mil. SKK
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mil. USD
|
mil. SKK
|
mil. USD
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|
GOODS
|
685,991.00
|
26,744.29
|
692,410.00
|
26,994.54
|
-6,419.00
|
-250.25
|
|
SERVICES
|
79,362.46
|
3,094.05
|
72,575.97
|
2,829.47
|
6,786.50
|
264.58
|
|
Transportation
|
25,637.05
|
999.50
|
20,994.52
|
818.50
|
4,642.53
|
181.00
|
|
Travel
|
22,719.90
|
885.77
|
17,289.01
|
674.04
|
5,430.89
|
211.73
|
|
Other services total
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31,005.51
|
1,208.79
|
34,292.44
|
1,336.94
|
-3,286.92
|
-128.15
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INCOME
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27,862.34
|
1,086.25
|
53,663.37
|
2,092.14
|
-25,801.03
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-1,005.89
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|
Compensation of employees
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18,000.00
|
701.75
|
802.75
|
31.30
|
17,197.25
|
670.46
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Investment income
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9,862.34
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384.50
|
52,860.62
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2,060.84
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-42,998.28
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-1,676.35
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CURRENT TRANSFERS
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18,026.62
|
702.79
|
25,340.52
|
987.93
|
-7,313.90
|
-285.14
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|
CURRENT ACCOUNT
|
811,242.42
|
31,627.38
|
843,989.86
|
32,904.09
|
-32,747.44
|
-1,276.70
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|
CAPITAL ACCOUNT
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6,347.62
|
247.47
|
963.52
|
37.56
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5,384.10
|
209.91
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FINANCIAL ACCOUNT
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3,568,444.06
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139,170.23
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-3,467,459.66
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-135,182.88
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100,984.39
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3,987.35
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DIRECT INVESTMENT
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582,511.18
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22,709.99
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-559,537.42
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-21,814.32
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22,973.76
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895.66
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ABROAD
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18,116.00
|
706.28
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-17,851.00
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-695.95
|
265.00
|
10.33
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Equity capital
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398.00
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15.52
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-780.00
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-30.41
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-382.00
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-14.89
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Reinvested earnings
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0.00
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0.00
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-600.00
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-23.39
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-600.00
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-23.39
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Other capital
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17,718.00
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690.76
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-16,471.00
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-642.14
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1,247.00
|
48.62
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In SR
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564,395.18
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22,003.71
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-541,686.42
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-21,118.38
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22,708.76
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885.33
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Equity capital
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15,820.18
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616.77
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-3,790.42
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-147.77
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12,029.76
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469.00
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Reinvested earnings
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12,000.00
|
467.84
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0.00
|
0.00
|
12,000.00
|
467.84
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Other capital
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536,575.00
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20,919.10
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-537,896.00
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-20,970.60
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-1,321.00
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-51.50
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PORTFOLIO INVESTMENT
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225,042.37
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8,824.36
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-222,336.13
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-8,668.08
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2,706.24
|
156.28
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Assets
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32,057.11
|
1,249.79
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-44,493.90
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-1,734.65
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-12,436.78
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-484.86
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Liabilities
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192,985.26
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7,574.57
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-177,842.24
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-6,933.42
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15,143.02
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641.14
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FINANCIAL DERIVATES
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1,388,161.61
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54,119.36
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-1,387,862.13
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-54,107.69
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299.47
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11.68
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Assets
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685,065.40
|
26,708.20
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-679,577.03
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-26,494.23
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5,488.37
|
213.97
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Liabilities
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703,096.21
|
27,411.16
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-708,285.10
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-27,613.45
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-5,188.90
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-202.30
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OTHER INVESTMENT
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1,372,728.91
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53,516.53
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-1,297,723.98
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-50,592.80
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75,004.93
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2,923.73
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Long-term
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227,706.60
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8,878.40
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-225,686.79
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-8,798.56
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2,019.81
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79.84
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Assets
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9,286.57
|
362.05
|
-12,446.63
|
-485.25
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-3,160.06
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-123.20
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Liabilities
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218,420.03
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8,516.35
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-213,240.16
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-8,313.31
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5,179.87
|
203.04
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Short-term
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1,145,022.31
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44,638.13
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-1,072,037.19
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-41,794.24
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72,985.12
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2,843.89
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|
Assets
|
620,803.92
|
24,202.88
|
-617,144.92
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-24,060.23
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3,659.00
|
142.65
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Liabilities
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524,218.39
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20,435.25
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-454,892.27
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-17,734.01
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69,326.12
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2,701.24
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CAPITAL AND FINANCIAL ACCOUNT
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3,574,791.68
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139,417.70
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-3,468,423.18
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-135,220.45
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106,368.50
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4,197.26
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ERRORS AND OMISSIONS
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|
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24,856.94
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959.74
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OVERALL BALANCE
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0.00
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0.00
|
98,478.00
|
3,880.30
|
98,478.00
|
3,880.30
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|
MONETARY GOLD
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0.00
|
0.00
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-0.30
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0.00
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-0.30
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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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0.00
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0.00
|
-98,477.70
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-3,880.30
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-98,477.70
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-3,880.30
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CURRENCY AND DEPOSIT
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0.00
|
0.00
|
-43,193.90
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-1,687.40
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-43,193.90
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-1,687.40
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SECURITIES
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0.00
|
0.00
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-55,283.80
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-2,192.90
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-55,283.80
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-2,192.90
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|
Bonds and notes
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0.00
|
0.00
|
-14,524.90
|
-588.20
|
-14,524.90
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-588.20
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|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-40,758.90
|
-1,604.70
|
-40,758.90
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-1,604.70
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|
RESERVE ASSETS
|
0.00
|
0.00
|
-98,478.00
|
-3,880.30
|
-98,478.00
|
-3,880.30
|
Used exchange rate of USD = 26.650 SKK