Data for the period

 

Slovak Republic - Balance of Payments - January to April 2002

 

Revision April 2004
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 197,818.00 4,129.21 222,690.00 4,648.38 -24,872.00 -519.17
SERVICES 36,523.60 762.39 30,854.00 644.04 5,669.60 118.35
  Transportation 16,193.70 338.02 6,614.10 138.06 9,579.60 199.96
  Travel 7,766.90 162.12 6,533.10 136.37 1,233.80 25.75
  Other services total 12,563.00 262.24 17,706.80 369.61 -5,143.80 -107.37
INCOME 5,019.60 104.78 8,698.20 181.56 -3,678.60 -76.79
  Compensation of employees 300.40 6.27 148.40 3.10 152.00 3.17
  Investment income 4,719.20 98.51 8,549.80 178.47 -3,830.60 -79.96
CURRENT TRANSFERS 6,539.00 136.49 4,681.30 97.72 1,857.70 38.78
CURRENT ACCOUNT 245,900.20 5,132.87 266,923.50 5,571.70 -21,023.30 -438.84
CAPITAL ACCOUNT 1,274.60 26.61 717.20 14.97 557.40 11.64
FINANCIAL ACCOUNT 864,098.07 18,032.53 -853,368.80 -17,812.76 10,729.27 219.76
DIRECT INVESTMENT 84,676.70 1,767.52 -76,536.40 -1,597.60 8,140.30 169.92
ABROAD 4,465.00 93.20 -4,821.00 -100.63 -356.00 -7.43
  Equity capital and reinvested earnings 199.00 4.15 -1,082.00 -22.59 -883.00 -18.43
  Other capital 4,266.00 89.05 -3,739.00 -78.05 527.00 11.00
In SR 80,211.70 1,674.32 -71,715.40 -1,496.97 8,496.30 177.35
  Equity capital and reinvested earnings 10,831.70 226.10 -1,496.40 -31.24 9,335.30 194.86
  Other capital 69,380.00 1,448.22 -70,219.00 -1,465.74 -839.00 -17.51
PORTFOLIO INVESTMENT 169,525.60 3,538.64 -167,425.50 -3,494.80 2,100.10 43.84
  Assets 83,942.40 1,752.19 -77,108.20 -1,609.54 6,834.20 142.66
  Liabilities 85,583.20 1,786.44 -90,317.30 -1,885.26 -4,734.10 -98.82
OTHER INVESTMENT 609,895.77 12,726.36 -609,406.90 -12,720.35 488.87 6.01
Long-term 9,722.57 202.93 -11,983.60 -250.15 -2,261.03 -47.22
  Assets 3,140.47 65.55 -973.40 -20.32 2,167.07 45.23
  Liabilities 6,582.10 137.37 -11,010.20 -229.83 -4,428.10 -92.46
Short-term 600,173.20 12,523.44 -597,423.30 -12,470.21 2,749.90 53.23
  Assets 339,009.90 7,076.42 -319,320.20 -6,665.42 19,689.70 411.00
  Liabilities 261,163.30 5,447.02 -278,103.10 -5,804.79 -16,939.80 -357.77
CAPITAL AND FINANCIAL ACCOUNT 865,372.67 18,059.13 -854,086.00 -17,827.73 11,286.67 231.40
ERRORS AND OMISSIONS         6,072.53 128.64
OVERALL BALANCE -17,935.00 -378.00 14,270.90 299.20 -3,664.10 -78.80
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 0.00 0.00 0.00 0.00 0.00 0.00
FOREIGN EXCHANGE 17,935.00 378.00 -14,270.90 -299.20 3,664.10 78.80
CURRENCY AND DEPOSIT 17,935.00 378.00 0.00 0.00 17,935.00 378.00
SECURITIES 0.00 0.00 -14,270.90 -299.20 -14,270.90 -299.20
  Bonds and notes 0.00 0.00 -11,397.60 -239.20 -11,397.60 -239.20
  Money market instr. and financial derivates 0.00 0.00 -2,873.30 -60.00 -2,873.30 -60.00
RESERVE ASSETS 17,935.00 378.00 -14,270.90 -299.20 3,664.10 78.80

Used exchange rate of USD = 47.907 SKK