Data for the period

 

Slovak Republic - Balance of Payments - January to February 2000

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 74,991.00 1,772.63 80,157.00 1,894.74 -5,166.00 -122.11
SERVICES 14,894.00 352.06 10,975.00 259.43 3,919.00 92.64
  Transportation 6,994.00 165.32 3,095.00 73.16 3,899.00 92.16
  Travel 3,018.00 71.34 1,654.00 39.10 1,364.00 32.24
  Other services total 4,882.00 115.40 6,226.00 147.17 -1,344.00 -31.77
INCOME 2,254.00 53.28 2,352.00 55.60 -98.00 -2.32
  Compensation of employees 103.00 2.43 44.00 1.04 59.00 1.39
  Investment income 2,151.00 50.85 2,308.00 54.56 -157.00 -3.71
CURRENT TRANSFERS 1,726.00 40.80 912.00 21.56 814.00 19.24
CURRENT ACCOUNT 93,865.00 2,218.77 94,396.00 2,231.32 -531.00 -12.55
CAPITAL ACCOUNT 587.00 13.88 -223.00 -5.27 364.00 8.60
FINANCIAL ACCOUNT 160,450.90 3,792.73 -156,213.90 -3,692.93 4,237.00 99.79
DIRECT INVESTMENT 41,912.30 990.72 -42,148.00 -996.29 -235.70 -5.57
ABROAD 1,023.30 24.19 -1,451.00 -34.30 -427.70 -10.11
  Equity capital and reinvested earnings 96.30 2.28 -47.00 -1.11 49.30 1.17
  Other capital 927.00 21.91 -1,404.00 -33.19 -477.00 -11.28
In SR 40,889.00 966.53 -40,697.00 -961.99 192.00 4.54
  Equity capital and reinvested earnings 1,155.00 27.30 -27.00 -0.64 1,128.00 26.66
  Other capital 39,734.00 939.23 -40,670.00 -961.35 -936.00 -22.13
PORTFOLIO INVESTMENT 9,560.60 225.99 -6,633.90 -156.81 2,926.70 69.18
  Assets 16.00 0.38 -517.50 -12.23 -501.50 -11.85
  Liabilities 9,544.60 225.61 -6,116.40 -144.58 3,428.20 81.04
OTHER INVESTMENT 108,978.00 2,576.02 -107,432.00 -2,539.83 1,546.00 36.18
Long-term 7,643.50 180.64 -5,345.80 -126.73 2,297.70 53.91
  Assets 1,571.40 37.18 -14.00 -0.33 1,557.40 36.85
  Liabilities 6,072.10 143.46 -5,331.80 -126.40 740.30 17.06
Short-term 101,334.50 2,395.38 -102,086.20 -2,413.10 -751.70 -17.72
  Assets 54,588.30 1,290.39 -50,543.00 -1,194.73 4,045.30 95.66
  Liabilities 46,746.20 1,104.99 -51,543.20 -1,218.37 -4,797.00 -113.39
CAPITAL AND FINANCIAL ACCOUNT 161,037.90 3,806.60 -156,436.90 -3,698.21 4,601.00 108.40
ERRORS AND OMISSIONS         3,275.10 76.95
OVERALL BALANCE -3,165.20 -73.40 10,510.30 246.20 7,345.10 172.80
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 2.60 0.00 0.00 0.00 2.60 0.00
FOREIGN EXCHANGE 3,162.60 73.40 -10,510.30 -246.20 -7,347.70 -172.80
CURRENCY AND DEPOSIT 0.00 0.00 -409.20 -9.60 -409.20 -9.60
SECURITIES 3,162.60 73.40 -10,101.10 -236.60 -6,938.50 -163.20
  Bonds and notes 3,162.60 73.40 0.00 0.00 3,162.60 73.40
  Money market instr. and financial derivates 0.00 0.00 -10,101.10 -26.20 -10,101.10 -26.20
RESERVE ASSETS 3,165.20 73.40 -10,510.30 -246.20 -7,345.10 -172.80

Used exchange rate of USD = 42.31 SKK