Data for the period

 

Slovak Republic - Balance of Payments - January to April 2005

 

Revision December 2007
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 292,361.00 9,931.08 313,947.00 10,664.32 -21,586.00 -733.25
SERVICES 42,778.00 1,453.11 36,621.60 1,243.98 6,156.40 209.12
  Transportation 15,187.60 515.90 11,107.50 377.31 4,080.10 138.60
  Travel 12,090.10 410.68 7,083.80 240.63 5,006.30 170.06
  Other services total 15,500.30 526.52 18,430.30 626.05 -2,930.00 -99.53
INCOME 17,660.20 599.89 19,284.80 655.08 -1,624.60 -55.19
  Compensation of employees 10,615.80 360.60 356.20 12.10 10,259.60 348.50
  Investment income 7,044.40 239.29 18,928.60 642.98 -11,884.20 -403.69
CURRENT TRANSFERS 16,387.60 556.66 13,985.74 475.08 2,401.86 81.58
CURRENT ACCOUNT 369,186.80 12,540.74 383,839.14 13,038.46 -14,652.34 -497.73
CAPITAL ACCOUNT 60.30 2.00 280.80 9.54 -220.50 -7.54
FINANCIAL ACCOUNT 1,212,608.50 41,188.92 -1,091,311.10 -37,072.34 121,297.40 4,116.58
DIRECT INVESTMENT 215,436.10 7,318.05 -207,108.60 -7,035.18 8,327.50 282.87
ABROAD 13,414.30 455.66 -14,357.80 -487.71 -943.50 -32.05
  Equity capital 7.10 0.24 -55.90 -1.90 -48.80 -1.66
  Reinvested earnings 0.00 0.00 -32.10 -1.09 -32.10 -1.09
  Other capital 13,407.20 455.42 -14,269.80 -484.72 -862.60 -29.30
In SR 202,021.80 6,862.39 -192,750.80 -6,547.46 9,271.00 314.92
  Equity capital 4,926.20 167.34 -3,553.60 -120.71 1,372.60 46.63
  Reinvested earnings 9,030.00 306.74 0.00 0.00 9,030.00 306.74
  Other capital 188,065.60 6,388.31 -189,197.20 -6,426.75 -1,131.60 -38.44
PORTFOLIO INVESTMENT 229,916.30 7,809.92 -217,091.30 -7,374.28 12,825.00 435.65
  Assets 18,109.50 615.15 -32,438.70 -1,101.90 -14,329.20 -486.74
  Liabilities 211,806.80 7,194.77 -184,652.60 -6,272.38 27,154.20 922.39
FINANCIAL DERIVATES 300,324.00 10,201.57 -299,491.00 -10,173.27 833.00 28.30
  Assets 126,984.50 4,313.48 -129,800.10 -4,409.12 -2,815.60 -95.64
  Liabilities 173,339.50 5,888.09 -169,690.90 -5,764.15 3,648.60 123.94
OTHER INVESTMENT 466,932.10 15,859.37 -367,620.20 -12,489.61 99,311.90 3,369.76
Long-term 28,400.70 964.73 -43,459.20 -1,480.24 -15,058.50 -515.51
  Assets 6,292.40 213.74 -7,119.40 -241.84 -827.00 -28.09
  Liabilities 22,108.30 750.99 -36,339.80 -1,238.40 -14,231.50 -487.42
Short-term 438,531.40 14,894.64 -324,161.00 -11,009.37 114,370.40 3,885.27
  Assets 137,930.60 4,685.30 -141,979.20 -4,822.83 -4,048.60 -137.53
  Liabilities 300,600.80 10,209.34 -182,181.80 -6,186.54 118,419.00 4,022.80
CAPITAL AND FINANCIAL ACCOUNT 1,212,668.80 41,190.92 -1,091,591.90 -37,081.87 121,076.90 4,109.04
ERRORS AND OMISSIONS         -4,559.76 -67.82
OVERALL BALANCE 0.00 0.00 101,864.80 3,543.50 101,864.80 3,543.50
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 0.00 0.00 -0.20 0.00 -0.20 0.00
FOREIGN EXCHANGE 0.00 0.00 -101,864.60 -3,543.50 -101,864.60 -3,543.50
CURRENCY AND DEPOSIT 0.00 0.00 -11,574.00 -405.90 -11,574.00 -405.90
SECURITIES 0.00 0.00 -90,290.60 -3,137.60 -90,290.60 -3,137.60
  Bonds and notes 0.00 0.00 -32,707.50 -1,154.60 -32,707.50 -1,154.60
  Money market instr. and financial derivates 0.00 0.00 -57,583.10 -1,983.00 -57,583.10 -1,983.00
RESERVE ASSETS 0.00 0.00 -101,864.80 -3,543.50 -101,864.80 -3,543.50

Used exchange rate of USD = 29.439 SKK