Data for the period

Slovak Republic - Balance of Payments - January to February 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 42,176.00 1,297.92 55,925.00 1,721.03 -13,749.00 -423.11
GOODS 2) 49,830.00 1,533.47 62,400.00 1,920.30 -12,570.00 -386.83
SERVICES 10,527.00 323.96 10,317.00 317.49 210.00 6.46
Transportation 4,446.00 136.82 1,880.00 57.86 2,566.00 78.97
Travel 2,521.00 77.58 1,841.00 56.65 680.00 20.93
Other services total 3,560.00 109.56 6,596.00 202.99 -3,036.00 -93.43
INCOME 777.00 23.91 1,265.00 38.93 -488.00 -15.02
Compensation of employees 96.00 2.95 34.00 1.05 62.00 1.91
Investment income 681.00 20.96 1,231.00 37.88 -550.00 -16.93
Current transfers 2,051.00 63.12 1,323.00 40.71 728.00 22.40
CURRENT ACCOUNT 1) 55,531.00 1,708.91 68,830.00 2,118.17 -13,299.00 -409.26
CURRENT ACCOUNT 2) 63,185.00 1,944.45 75,305.00 2,317.43 -12,120.00 -372.98
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 118,764.80 3,785.02 -109,694.70 -3,486.17 9,070.10 298.86
DIRECT INVESTMENT 14,179.40 436.36 -14,825.00 -456.22 -645.60 -19.87
ABROAD 412.40 12.69 -1,212.00 -37.30 -799.60 -24.61
Equity capital and reinvested earnings 64.40 1.98 -910.00 -28.00 -845.60 -26.02
Other capital 348.00 10.71 -302.00 -9.29 46.00 1.42
In SR 13,767.00 423.67 -13,613.00 -418.93 154.00 4.74
Equity capital and reinvested earnings 547.00 16.83 -503.00 -15.48 44.00 1.35
Other capital 13,220.00 406.83 -13,110.00 -403.45 110.00 3.39
PORTFOLIO INVESTMENT 276.60 8.51 -450.00 -13.85 -173.40 -5.34
Assets 257.60 7.93 -343.00 -10.56 -85.40 -2.63
Liabilities 19.00 0.58 -107.00 -3.29 -88.00 -2.71
OTHER INVESTMENT 104,308.80 3,340.15 -94,419.70 -3,016.09 9,889.10 324.06
Long-term 5,237.60 181.82 -4,600.90 -168.74 636.70 13.08
Assets 984.40 51.72 -7.00 -0.22 977.40 51.51
Liabilities 4,253.20 130.09 -4,593.90 -168.52 -340.70 -38.43
Short-term 99,071.20 3,158.34 -89,818.80 -2,847.36 9,252.40 310.98
Assets 36,569.40 1,142.46 -43,456.60 -1,382.18 -6,887.20 -239.71
Liabilities 62,501.80 2,015.87 -46,362.20 -1,465.18 16,139.60 550.69
CAPITAL AND FINANCIAL ACCOUNT 118,764.80 3,785.02 -109,694.70 -3,486.17 9,070.10 298.86
ERRORS AND OMISSIONS         8,223.60 231.72
OVERALL BALANCE -1,598.40 -52.20 6,772.10 209.80 5,173.70 157.60
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 493.20 15.40 0.00 0.00 493.20 15.40
FOREIGN EXCHANGE 1,105.20 36.80 -6,772.10 -209.80 -5,666.90 -173.00
CURRENCY AND DEPOSIT 0.00 0.00 -6,311.90 -197.00 -6,311.90 -197.00
SECURITIES 1,105.20 36.80 -460.20 -12.80 645.00 24.00
Bonds and notes 0.00 0.00 -460.20 -12.80 -460.20 -12.80
Money market instr. and financial derivates 1,105.20 36.80 0.00 0.00 1,105.20 36.80
RESERVE ASSETS 1,598.40 52.20 -6,772.10 -209.80 -5,173.70 -157.60

Used exchange rate of USD 32.495 SKK

1) Definitive figures of foreign trade SR according to old metodology- data are comparable with years 1993-1996
2) Definitive figures of foreign trade SR according to new metodology- data are comparable with year 1998