Data for the period

 

Slovak Republic - Balance of Payments - January to July 2000

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 304,448.00 6,908.75 315,664.00 7,163.27 -11,216.00 -254.52
SERVICES 55,904.20 1,268.62 44,240.40 1,003.93 11,663.80 264.68
  Transportation 24,640.70 559.16 11,328.00 257.06 13,312.70 302.10
  Travel 11,453.80 259.92 7,762.90 176.16 3,690.90 83.76
  Other services total 19,809.70 449.54 25,149.50 570.71 -5,339.80 -121.17
INCOME 5,624.10 127.63 16,285.50 369.56 -10,661.40 -241.94
  Compensation of employees 405.70 9.21 203.90 4.63 201.80 4.58
  Investment income 5,218.40 118.42 16,081.60 364.94 -10,863.20 -246.52
CURRENT TRANSFERS 8,178.60 185.59 4,574.90 103.82 3,603.70 81.78
CURRENT ACCOUNT 374,154.90 8,490.59 380,764.80 8,640.59 -6,609.90 -150.00
CAPITAL ACCOUNT 2,632.60 59.74 -464.70 -10.55 2,167.90 49.20
FINANCIAL ACCOUNT 707,256.10 16,058.93 -680,537.80 -15,445.50 26,718.30 613.43
DIRECT INVESTMENT 194,356.10 4,410.47 -190,182.00 -4,315.75 4,174.10 94.72
ABROAD 5,323.30 120.80 -5,393.00 -122.38 -69.70 -1.58
  Equity capital and reinvested earnings 678.30 15.39 -373.00 -8.46 305.30 6.93
  Other capital 4,645.00 105.41 -5,020.00 -113.92 -375.00 -8.51
In SR 189,032.80 4,289.67 -184,789.00 -4,193.36 4,243.80 96.30
  Equity capital and reinvested earnings 7,661.80 173.87 -340.00 -7.72 7,321.80 166.15
  Other capital 181,371.00 4,115.80 -184,449.00 -4,185.65 -3,078.00 -69.85
PORTFOLIO INVESTMENT 72,273.30 1,647.50 -38,392.30 -871.23 33,881.00 776.28
  Assets 50.90 1.16 -1,747.40 -39.65 -1,696.50 -38.50
  Liabilities 72,222.40 1,646.35 -36,644.90 -831.57 35,577.50 814.77
OTHER INVESTMENT 440,626.70 10,000.96 -451,963.50 -10,258.53 -11,336.80 -257.57
Long-term 35,704.30 812.17 -23,420.00 -533.71 12,284.30 278.46
  Assets 2,979.90 67.63 -126.00 -2.86 2,853.90 64.77
  Liabilities 32,724.40 744.55 -23,294.00 -530.86 9,430.40 213.69
Short-term 404,922.40 9,188.79 -428,543.50 -9,724.82 -23,621.10 -536.03
  Assets 199,502.00 4,527.24 -218,461.10 -4,957.48 -18,959.10 -430.24
  Liabilities 205,420.40 4,661.55 -210,082.40 -4,767.34 -4,662.00 -105.79
CAPITAL AND FINANCIAL ACCOUNT 709,888.70 16,118.67 -681,002.50 -15,456.05 28,886.20 662.62
ERRORS AND OMISSIONS         8,890.70 227.17
OVERALL BALANCE -28.50 -0.50 31,195.50 740.30 31,167.00 739.80
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 28.50 0.50 0.00 0.00 28.50 0.50
FOREIGN EXCHANGE 0.00 0.00 -31,195.50 -740.30 -31,195.50 -740.30
CURRENCY AND DEPOSIT 0.00 0.00 -5,538.50 -128.10 -5,538.50 -128.10
SECURITIES 0.00 0.00 -25,657.00 -612.20 -25,657.00 -612.20
  Bonds and notes 0.00 0.00 -3,001.00 -81.90 -3,001.00 -81.90
  Money market instr. and financial derivates 0.00 0.00 -22,656.00 -530.30 -22,656.00 -530.30
RESERVE ASSETS 28.50 0.50 -31,195.50 -740.30 -31,167.00 -739.80

Used exchange rate of USD = 44.067 SKK