Data for the period

 

Slovak Republic - Balance of Payments - January to June 2001

(new data due to revision as of May 2003)
 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 307,832.00 6,369.60 349,250.00 7,226.70 -41,418.00 -857.10
SERVICES 53,378.00 1,104.49 45,601.70 943.59 7,776.30 160.91
  Transportation 23,428.00 484.77 11,627.30 240.59 11,800.70 244.18
  Travel 9,287.60 192.18 6,618.40 136.95 2,669.20 55.23
  Other services total 20,662.40 427.55 27,356.00 566.05 -6,693.60 -138.50
INCOME 7,767.60 160.73 18,235.30 377.29 -10,467.70 -216.57
  Compensation of employees 457.00 9.46 289.60 5.99 167.40 3.46
  Investment income 7,310.60 151.27 17,945.70 371.30 -10,635.10 -220.03
CURRENT TRANSFERS 11,949.60 247.26 6,716.10 138.97 5,233.50 108.29
CURRENT ACCOUNT 380,927.20 7,882.08 419,803.10 8,686.55 -38,875.90 -804.47
CAPITAL ACCOUNT 226.30 4.68 -91.80 -1.90 134.50 2.78
FINANCIAL ACCOUNT 715,385.50 14,801.97 -690,201.60 -14,284.20 25,183.90 517.77
DIRECT INVESTMENT 199,658.10 4,131.31 -167,680.00 -3,469.62 31,978.10 661.69
ABROAD 6,865.00 142.05 -9,378.00 -194.05 -2,513.00 -52.00
  Equity capital and reinvested earnings 518.00 10.72 -2,508.00 -51.90 -1,990.00 -41.18
  Other capital 6,347.00 131.33 -6,870.00 -142.15 -523.00 -10.82
In SR 192,793.10 3,989.26 -158,302.00 -3,275.58 34,491.10 713.69
  Equity capital and reinvested earnings 30,438.10 629.82 -2,887.00 -59.74 27,551.10 570.09
  Other capital 162,355.00 3,359.44 -155,415.00 -3,215.84 6,940.00 143.60
PORTFOLIO INVESTMENT 72,337.10 1,496.79 -76,284.10 -1,580.84 -3,947.00 -84.04
  Assets 2,308.00 47.76 -13,287.10 -274.94 -10,979.10 -227.18
  Liabilities 70,029.10 1,449.04 -62,997.00 -1,305.90 7,032.10 143.14
FINANCIAL DERIVATES 240.00 4.97 -113.00 -2.34 127.00 2.63
  Assets 0.00 0.00 0.00 0.00 0.00 0.00
  Liabilities 240.00 4.97 -113.00 -2.34 127.00 2.63
OTHER INVESTMENT 443,150.30 9,168.90 -446,124.50 -9,231.40 -2,974.20 -62.51
Long-term 25,431.40 525.48 -27,288.80 -564.89 -1,857.40 -39.40
  Assets 481.00 9.95 -1,644.80 -34.04 -1,163.80 -24.08
  Liabilities 24,950.40 515.53 -25,644.00 -530.85 -693.60 -15.32
Short-term 417,718.90 8,643.41 -418,835.70 -8,666.52 -1,116.80 -23.10
  Assets 191,730.50 3,967.28 -202,915.70 -4,198.71 -11,185.20 -231.44
  Liabilities 225,988.40 4,676.14 -215,920.00 -4,467.80 10,068.40 208.33
CAPITAL AND FINANCIAL ACCOUNT 715,611.80 14,806.65 -690,293.40 -14,286.10 25,318.40 520.55
ERRORS AND OMISSIONS         3,310.70 77.52
OVERALL BALANCE -32,334.10 -666.30 22,087.30 459.90 -10,246.80 -206.40
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 0.00 0.00 -6.30 -0.10 -6.30 -0.10
FOREIGN EXCHANGE 32,334.10 666.30 -22,081.00 -459.80 10,253.10 206.50
CURRENCY AND DEPOSIT 0.00 0.00 -8,471.70 -175.50 -8,471.70 -175.50
SECURITIES 32,334.10 666.30 -13,609.30 -284.30 18,724.80 382.00
  Bonds and notes 0.00 0.00 -13,609.30 -284.30 -13,609.30 -284.30
  Money market instr. and financial derivates 32,334.10 666.30 0.00 0.00 32,334.10 666.30
RESERVE ASSETS 32,334.10 666.30 -22,087.30 -459.90 10,246.80 206.40

Used exchange rate of USD = 48.328 SKK

Selected indicators under SDDS' specification

IMPORT OF GOODS AND SERVICES 394,851.7
EXPORT OF GOODS AND SERVICES 361,210.0
NET INCOME RECEIPTS -10,467.7
NET RECEIPTS FROM CURRENT TRANSFERS 5,233.5
CAPITAL TRANSFERS 134.5
FINANCIAL ACCOUNT 25,183.9
RESERVE ASSETS 10,246.8
DIRECT INVESTMENT 31,978.1
  Direct investment abroad -2,513.0
  Direct investment in SR 34,491.1
PORTFOLIO INVESTMENT -3,947.0
  Portfolio investment assets -10,979.1
  Portfolio investment liabilities 7,032.1
FINANCIAL DERIVATES 127.0
  Financial derivates assets 0.0
  Financial derivates liabilities 127.0
OTHER CAPITAL -2,974.2
  Other capital assets -12,349.0
  Other capital liabilities 9,374.8