Data for the period

 

Slovak Republic - Balance of Payments - January to May 2000

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 210,254.00 4,810.31 219,316.00 5,017.64 -9,062.00 -207.33
SERVICES 39,044.00 893.27 30,400.00 695.51 8,644.00 197.76
  Transportation 17,743.00 405.93 7,708.00 176.35 10,035.00 229.59
  Travel 7,567.00 173.12 4,881.00 111.67 2,686.00 61.45
  Other services total 13,734.00 314.21 17,811.00 407.49 -4,077.00 -93.28
INCOME 4,431.00 101.38 11,244.00 257.25 -6,813.00 -155.87
  Compensation of employees 264.00 6.04 128.00 2.93 136.00 3.11
  Investment income 4,167.00 95.34 11,116.00 254.32 -6,949.00 -158.98
CURRENT TRANSFERS 5,736.00 131.23 2,912.00 66.62 2,824.00 64.61
CURRENT ACCOUNT 259,465.00 5,936.19 263,872.00 6,037.02 -4,407.00 -100.83
CAPITAL ACCOUNT 1,845.00 42.21 -322.00 -7.37 1,523.00 34.84
FINANCIAL ACCOUNT 515,411.10 11,797.71 -480,837.60 -11,003.48 34,573.50 794.23
DIRECT INVESTMENT 140,924.10 3,224.14 -137,538.60 -3,146.69 3,385.50 77.46
ABROAD 7,899.10 180.72 -8,218.00 -188.02 -318.90 -7.30
  Equity capital and reinvested earnings 491.10 11.24 -265.00 -6.06 226.10 5.17
  Other capital 7,408.00 169.48 -7,953.00 -181.95 -545.00 -12.47
In SR 133,025.00 3,043.42 -129,320.60 -2,958.67 3,704.40 84.75
  Equity capital and reinvested earnings 4,885.00 111.76 -229.60 -5.25 4,655.40 106.51
  Other capital 128,140.00 2,931.66 -129,091.00 -2,953.42 -951.00 -21.76
PORTFOLIO INVESTMENT 58,573.60 1,343.68 -23,581.40 -539.51 34,992.20 804.18
  Assets 16.00 0.37 -242.80 -5.55 -226.80 -5.19
  Liabilities 58,557.60 1,343.32 -23,338.60 -533.95 35,219.00 809.36
OTHER INVESTMENT 315,913.40 7,229.88 -319,717.60 -7,317.28 -3,804.20 -87.40
Long-term 24,531.00 563.24 -15,628.70 -359.60 8,902.30 203.64
  Assets 489.10 11.39 -118.00 -2.70 371.10 8.69
  Liabilities 24,041.90 551.85 -15,510.70 -356.90 8,531.20 194.95
Short-term 291,382.40 6,666.64 -304,088.90 -6,957.68 -12,706.50 -291.04
  Assets 148,040.20 3,387.17 -155,759.50 -3,563.56 -7,719.30 -176.38
  Liabilities 143,342.20 3,279.47 -148,329.40 -3,394.13 -4,987.20 -114.66
CAPITAL AND FINANCIAL ACCOUNT 517,256.10 11,839.92 -481,159.60 -11,010.84 36,096.50 829.08
ERRORS AND OMISSIONS         4,447.80 122.95
OVERALL BALANCE -5,337.70 -119.80 41,475.00 971.00 36,137.30 851.20
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 28.80 0.50 0.00 0.00 28.80 0.50
FOREIGN EXCHANGE 5,308.90 119.30 -41,475.00 -971.00 -36,166.10 -851.70
CURRENCY AND DEPOSIT 5,308.90 119.30 0.00 0.00 5,308.90 119.30
SECURITIES 0.00 0.00 -41,475.00 -971.00 -41,475.00 -971.00
  Bonds and notes 0.00 0.00 -2,018.20 -57.70 -2,018.20 -57.70
  Money market instr. and financial derivates 0.00 0.00 -39,456.80 -913.30 -39,456.80 -913.30
RESERVE ASSETS 5,337.70 119.80 -41,475.00 -971.00 -36,137.30 -851.20

Used exchange rate of USD = 43.709 SKK