Data for the period

 

Slovak Republic - Balance of Payments - January 2000

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 34,338.00 823.71 36,725.00 880.97 -2,387.00 -57.26
SERVICES 6,955.00 166.84 5,378.00 129.01 1,577.00 37.83
  Transportation 3,242.00 77.77 1,630.00 39.10 1,612.00 38.67
  Travel 1,616.00 38.77 774.00 18.57 842.00 20.20
  Other services total 2,097.00 50.30 2,974.00 71.34 -877.00 -21.04
INCOME 710.00 17.03 1,101.00 26.41 -391.00 -9.38
  Compensation of employees 49.00 1.18 18.00 0.43 31.00 0.74
  Investment income 661.00 15.86 1,083.00 25.98 -422.00 -10.12
CURRENT TRANSFERS 834.00 20.01 342.00 8.20 492.00 11.80
CURRENT ACCOUNT 42,837.00 1,027.59 43,546.00 1,044.59 -709.00 -17.01
CAPITAL ACCOUNT 235.00 5.64 -182.00 -4.37 53.00 1.27
FINANCIAL ACCOUNT 81,080.90 1,945.04 -80,893.10 -1,940.46 187.80 4.58
DIRECT INVESTMENT 24,778.50 594.39 -27,329.00 -655.58 -2,550.50 -61.18
ABROAD 457.00 10.96 -637.00 -15.28 -180.00 -4.32
  Equity capital and reinvested earnings 62.00 1.49 -40.00 -0.96 22.00 0.53
  Other capital 395.00 9.48 -597.00 -14.32 -202.00 -4.85
In SR 24,321.50 583.43 -26,692.00 -640.30 -2,370.50 -56.86
  Equity capital and reinvested earnings 283.50 6.80 -26.00 -0.62 257.50 6.18
  Other capital 24,038.00 576.63 -26,666.00 -639.67 -2,628.00 -63.04
PORTFOLIO INVESTMENT 4,239.00 101.69 -946.90 -22.71 3,292.10 78.97
  Assets 27.30 0.65 -246.10 -5.90 -218.80 -5.25
  Liabilities1) 4,211.70 101.03 -700.80 -16.81 3,510.90 84.22
OTHER INVESTMENT 52,063.40 1,248.96 -52,617.20 -1,262.17 -553.80 -13.21
Long-term 6,419.80 154.02 -3,771.90 -90.46 2,647.90 63.57
  Assets 962.00 23.10 -321.00 -7.70 641.00 15.40
  Liabilities 5,457.80 130.92 -3,450.90 -82.76 2,006.90 48.17
Short-term 45,643.60 1,094.94 -48,845.30 -1,171.72 -3,201.70 -76.78
  Assets 26,063.10 625.25 -24,514.00 -588.05 1,549.10 37.21
  Liabilities 19,580.50 469.68 -24,331.30 -583.67 -4,750.80 -113.99
CAPITAL AND FINANCIAL ACCOUNT 81,315.90 1,950.68 -81,075.10 -1,944.83 240.80 5.85
ERRORS AND OMISSIONS         1,559.00 38.26
OVERALL BALANCE -1,140.80 -26.70 2,231.60 53.80 1,090.80 27.10
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 0.00 0.00 -52.70 -1.40 -52.70 -1.40
FOREIGN EXCHANGE 1,140.80 26.70 -2,178.90 -52.40 -1,038.10 -25.70
CURRENCY AND DEPOSIT 1,140.80 26.70 0.00 0.00 1,140.80 26.70
SECURITIES 0.00 0.00 -2,178.90 -52.40 -2,178.90 -52.40
  Bonds and notes 0.00 0.00 -1,091.10 -26.20 -1,091.10 -26.20
  Money market instr. and financial derivates 0.00 0.00 -1,087.80 -26.20 -1,087.80 -26.20
RESERVE ASSETS 1,140.80 26.70 -2,231.60 -53.80 -1,090.80 -27.10

Used exchange rate of USD = 41.42 SKK
1) receipts including eurobonds of government 22,634.2 mil. SKK
1) expenditures including repayments of bonds of NBS 8,727.7 mil. SKK