Data for the period
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|
Slovak Republic - Balance of Payments - January to December 2007
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Revision May 2008
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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
|
1,420,738.00
|
57,489.50
|
1,442,123.00
|
58,354.83
|
-21,385.00
|
-865.33
|
|
SERVICES
|
173,390.01
|
7,016.15
|
160,278.46
|
6,485.59
|
13,111.55
|
530.55
|
|
Transportation
|
55,309.56
|
2,238.08
|
45,138.38
|
1,826.50
|
10,171.18
|
411.57
|
|
Travel
|
49,751.36
|
2,013.17
|
37,720.97
|
1,526.36
|
12,030.39
|
486.80
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|
Other services total
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68,329.09
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2,764.90
|
77,419.11
|
3,132.73
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-9,090.02
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-367.82
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INCOME
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57,563.17
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2,329.27
|
136,917.47
|
5,540.30
|
-79,354.30
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-3,211.03
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|
Compensation of employees
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36,500.00
|
1,476.96
|
1,785.27
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72.24
|
34,714.73
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1,404.72
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Investment income
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21,063.17
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852.31
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135,132.20
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5,468.06
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-114,069.03
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-4,615.75
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CURRENT TRANSFERS
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50,283.95
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2,034.72
|
61,373.70
|
2,483.46
|
-11,089.75
|
-448.74
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|
CURRENT ACCOUNT
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1,701,975.13
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68,869.63
|
1,800,692.63
|
72,864.19
|
-98,717.50
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-3,994.56
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CAPITAL ACCOUNT
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16,610.09
|
672.12
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5,264.22
|
213.01
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11,345.87
|
459.11
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FINANCIAL ACCOUNT
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7,330,128.55
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296,606.38
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-7,155,748.13
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-289,546.45
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174,380.42
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7,059.93
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DIRECT INVESTMENT
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1,393,400.92
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56,383.32
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-1,322,202.90
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-53,502.32
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71,198.01
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2,880.99
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ABROAD
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38,328.00
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1,550.92
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-47,817.00
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-1,934.89
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-9,489.00
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-383.97
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Equity capital
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1,178.00
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47.67
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-7,140.00
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-288.92
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-5,962.00
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-241.25
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Reinvested earnings
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0.00
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0.00
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-1,200.00
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-48.56
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-1,200.00
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-48.56
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Other capital
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37,150.00
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1,503.26
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-39,477.00
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-1,597.42
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-2,327.00
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-94.16
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In SR
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1,355,072.92
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54,832.39
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-1,274,385.90
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-51,567.43
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80,687.01
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3,264.96
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Equity capital
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38,099.92
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1,541.70
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-10,740.90
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-434.63
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27,359.01
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1,107.07
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Reinvested earnings
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24,500.00
|
991.38
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0.00
|
0.00
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24,500.00
|
991.38
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Other capital
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1,292,473.00
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52,299.32
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-1,263,645.00
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-51,132.80
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28,828.00
|
1,166.51
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PORTFOLIO INVESTMENT
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332,032.87
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13,436.64
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-349,667.50
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-14,149.13
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-17,634.63
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-712.49
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Assets
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64,704.55
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2,618.24
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-90,986.27
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-3,681.72
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-26,281.72
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-1,063.48
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Liabilities
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267,328.32
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10,818.40
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-258,681.23
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-10,467.42
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8,647.09
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350.99
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FINANCIAL DERIVATES
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2,708,987.22
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109,617.90
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-2,707,506.73
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-109,557.99
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1,480.49
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59.91
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Assets
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1,361,823.39
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55,105.55
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-1,355,223.43
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-54,838.48
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6,599.96
|
267.06
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Liabilities
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1,347,163.84
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54,512.36
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-1,352,283.30
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-54,719.51
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-5,119.47
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-207.16
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OTHER INVESTMENT
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2,895,707.54
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117,168.52
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-2,776,371.01
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-112,337.00
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119,336.54
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4,831.52
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Long-term
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329,659.03
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13,339.22
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-310,729.94
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-12,569.08
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18,929.10
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770.13
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Assets
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28,112.01
|
1,137.54
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-34,559.36
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-1,398.43
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-6,447.34
|
-260.89
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Liabilities
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301,547.02
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12,201.68
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-276,170.58
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-11,170.65
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25,376.44
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1,031.02
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Short-term
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2,566,048.51
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103,829.30
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-2,465,641.07
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-99,767.92
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100,407.44
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4,061.38
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Assets
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1,503,823.00
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60,851.50
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-1,533,082.30
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-62,035.46
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-29,259.30
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-1,183.96
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Liabilities
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1,062,225.51
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42,977.80
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-932,558.78
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-37,732.46
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129,666.74
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5,245.35
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CAPITAL AND FINANCIAL ACCOUNT
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7,346,738.64
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297,278.49
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-7,161,012.35
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-289,759.46
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185,726.29
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7,519.03
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ERRORS AND OMISSIONS
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|
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|
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8,962.21
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247.93
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OVERALL BALANCE
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0.00
|
0.00
|
95,971.00
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3,772.40
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95,971.00
|
3,772.40
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MONETARY GOLD
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0.00
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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
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-95,970.70
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-3,772.40
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-95,970.70
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-3,772.40
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CURRENCY AND DEPOSIT
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0.00
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0.00
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-10,387.20
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-413.50
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-10,387.20
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-413.50
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|
SECURITIES
|
0.00
|
0.00
|
-85,583.50
|
-3,358.90
|
-85,583.50
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-3,358.90
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|
Bonds and notes
|
0.00
|
0.00
|
-34,382.50
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-1,327.60
|
-34,382.50
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-1,327.60
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|
Money market instr. and financial derivates
|
0.00
|
0.00
|
-51,201.00
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-2,031.30
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-51,201.00
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-2,031.30
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|
RESERVE ASSETS
|
0.00
|
0.00
|
-95,971.00
|
-3,772.40
|
-95,971.00
|
-3,772.40
|
Used exchange rate of USD = 24.713 SKK