Data for the period

 

Slovak Republic - Balance of Payments - January to June 2003

 

Revision February 2007
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 375,318.00 9,970.72 385,113.00 10,230.94 -9,795.00 -260.21
SERVICES 56,950.20 1,512.94 54,620.90 1,451.06 2,329.30 61.88
  Transportation 24,519.10 651.38 15,998.30 425.01 8,520.80 226.36
  Travel 14,936.20 396.80 10,701.10 284.29 4,235.10 112.51
  Other services total 17,494.90 464.77 27,921.50 741.76 -10,426.60 -276.99
INCOME 19,645.70 521.91 56,498.40 1,500.94 -36,852.70 -979.03
  Compensation of employees 8,459.80 224.74 262.90 6.98 8,196.90 217.76
  Investment income 11,185.90 297.17 56,235.50 1,493.96 -45,049.60 -1,196.79
CURRENT TRANSFERS 9,604.70 255.16 4,385.00 116.49 5,219.70 138.67
CURRENT ACCOUNT 461,518.60 12,260.74 500,617.30 13,299.43 -39,098.70 -1,038.70
CAPITAL ACCOUNT 1,900.00 50.48 1,389.20 36.91 510.80 13.57
FINANCIAL ACCOUNT 1,108,510.60 29,487.42 -1,062,836.70 -28,295.14 45,673.90 1,192.28
DIRECT INVESTMENT 306,632.20 8,146.01 -269,224.20 -7,152.23 37,408.00 993.78
ABROAD 15,008.40 398.71 -24,425.10 -648.88 -9,416.70 -250.16
  Equity capital 543.00 14.43 -188.60 -5.01 354.40 9.42
  Reinvested earnings 0.00 0.00 -637.60 -16.94 -637.60 -16.94
  Other capital 14,465.40 384.29 -23,598.90 -626.93 -9,133.50 -242.64
In SR 291,623.80 7,747.30 -244,799.10 -6,503.35 46,824.70 1,243.95
  Equity capital 23,231.10 617.16 -2,393.40 -63.58 20,837.70 553.58
  Reinvested earnings 27,778.10 737.95 0.00 0.00 27,778.10 737.95
  Other capital 240,614.60 6,392.18 -242,405.70 -6,439.77 -1,791.10 -47.58
PORTFOLIO INVESTMENT 181,991.40 4,884.10 -199,595.60 -5,378.77 -17,604.20 -494.67
  Assets 36,556.3 971.2 -50,805.5 -1,349.7 -14,249.20 -378.55
  Liabilities 145,435.1 3,912.9 -148,790.1 -4,029.1 -3,355.00 -116.13
FINANCIAL DERIVATES 17,634.0 468.5 -18,253.8 -484.9 -619.8 -16.5
  Assets 16,043.1 426.2 -18,045.8 -479.4 -2,002.7 -53.2
  Liabilities 1,590.9 42.3 -208.0 -5.5 1,382.9 36.7
OTHER INVESTMENT 602,253.00 15,988.84 -575,763.10 -15,279.21 26,489.90 709.64
Long-term 64,372.00 1,711.10 -68,796.50 -1,827.78 -4,424.50 -116.68
  Assets 12,983.80 344.93 -4,311.20 -114.53 8,672.60 230.40
  Liabilities 51,388.20 1,366.17 -64,485.30 -1,713.24 -13,097.10 -347.08
Short-term 537,881.00 14,277.75 -506,966.60 -13,451.43 30,914.40 826.32
  Assets 214,175.30 5,689.80 -221,297.80 -5,879.01 -7,122.50 -189.22
  Liabilities 323,705.70 8,587.95 -285,668.80 -7,572.42 38,036.90 1,015.54
CAPITAL AND FINANCIAL ACCOUNT 1,110,410.60 29,537.89 -1,064,225.90 -28,332.04 46,184.70 1,205.85
ERRORS AND OMISSIONS         13,639.70 368.75
OVERALL BALANCE -90,566.80 -2,369.40 111,292.50 2,905.30 20,725.70 535.90
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS -0.20 0.00 0.00 0.00 -0.20 0.00
FOREIGN EXCHANGE 90,567.00 2,369.40 -111,292.50 -2,905.30 -20,725.50 -535.90
CURRENCY AND DEPOSIT 0.00 0.00 -22,627.10 -590.80 -22,627.10 -590.80
SECURITIES 90,567.00 2,369.40 -88,665.40 -2,314.50 1,901.60 54.90
  Bonds and notes 0.00 0.00 -88,665.40 -2,314.50 -88,665.40 -2,314.50
  Money market instr. and financial derivates 90,567.00 2,369.40 0.00 0.00 90,567.00 2,369.40
RESERVE ASSETS 90,566.80 2,369.40 -111,292.50 -2,905.30 -20,725.70 -535.90

Used exchange rate of USD = 37.642 SKK

Selected indicators under SDDS' specification

IMPORT OF GOODS AND SERVICES 439,733.90
EXPORT OF GOODS AND SERVICES 432,268.20
NET INCOME RECEIPTS -36,852.70
NET RECEIPTS FROM CURRENT TRANSFERS 5,219.70
CAPITAL TRANSFERS 510.80
FINANCIAL ACCOUNT 45,673.90
RESERVE ASSETS -20,725.70
DIRECT INVESTMENT 37,408.00
  Direct investment abroad -9,416.70
  Direct investment in SR 46,824.70
PORTFOLIO INVESTMENT -17,604.20
  Portfolio investment assets -14,249.20
  Portfolio investment liabilities -3,355.00
FINANCIAL DERIVATES -619.80
  Financial derivates assets -2,002.70
  Financial derivates liabilities 1,382.90
OTHER CAPITAL 26,489.90
  Other capital assets 1,550.10
  Other capital liabilities 24,939.80