Data for the period

Slovak Republic - Balance of Payments - January to March 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 65,084.00 1,988.76 85,352.00 2,608.08 -20,268.00 -619.32
GOODS 2) 76,538.00 2,338.75 95,037.00 2,904.02 -18,499.00 -565.27
SERVICES 15,765.00 481.73 15,337.00 468.65 428.00 13.08
Transportation 6,686.00 204.30 2,776.00 84.83 3,910.00 119.48
Travel 3,714.00 113.49 3,167.00 96.77 547.00 16.71
Other services total 5,365.00 163.94 9,394.00 287.05 -4,029.00 -123.11
INCOME 2,106.10 64.36 2,777.40 84.87 -671.30 -20.51
Compensation of employees 157.00 4.80 60.00 1.83 97.00 2.96
Investment income 1,949.10 59.56 2,717.40 83.03 -768.30 -23.48
Current transfers 3,037.00 92.80 1,974.00 60.32 1,063.00 32.48
CURRENT ACCOUNT 1) 85,992.10 2,627.64 105,440.40 3,221.92 -19,448.30 -594.28
CURRENT ACCOUNT 2) 97,446.10 2,977.64 115,125.40 3,517.86 -17,679.30 -540.22
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 181,012.50 5,594.57 -166,896.10 -5,154.10 14,116.40 440.47
DIRECT INVESTMENT 25,289.00 772.75 -25,906.70 -791.62 -617.70 -18.87
ABROAD 465.00 14.21 -1,429.00 -43.67 -964.00 -29.46
Equity capital and reinvested earnings 7.00 0.21 -989.00 -30.22 -982.00 -30.01
Other capital 458.00 13.99 -440.00 -13.44 18.00 0.55
In SR 24,824.00 758.54 -24,477.70 -747.96 346.30 10.58
Equity capital and reinvested earnings 740.00 22.61 -572.70 -17.50 167.30 5.11
Other capital 24,084.00 735.93 -23,905.00 -730.46 179.00 5.47
PORTFOLIO INVESTMENT 567.10 17.33 -456.30 -13.94 110.80 3.39
Assets 548.10 16.75 -395.30 -12.08 152.80 4.67
Liabilities 19.00 0.58 -61.00 -1.86 -42.00 -1.28
OTHER INVESTMENT 155,156.40 4,804.49 -140,533.10 -4,348.54 14,623.30 455.96
Long-term 11,025.40 338.65 -5,900.60 -202.93 5,124.80 135.71
Assets 1,026.30 41.47 -30.20 -1.04 996.10 40.43
Liabilities 9,999.10 297.18 -5,870.40 -201.90 4,128.70 95.28
Short-term 144,131.00 4,465.85 -134,632.50 -4,145.60 9,498.50 320.24
Assets 51,551.90 1,588.07 -64,766.50 -2,010.73 -13,214.60 -422.66
Liabilities 92,579.10 2,877.78 -69,866.00 -2,134.88 22,713.10 742.90
CAPITAL AND FINANCIAL ACCOUNT 181,012.50 5,594.57 -166,896.10 -5,154.10 14,116.40 440.47
ERRORS AND OMISSIONS         8,573.00 252.75
OVERALL BALANCE -378.90 -13.80 5,389.00 166.80 5,010.10 153.00
MONETARY GOLD -1,033.20 -31.20 0.00 0.00 -1,033.20 -31.20
SPECIAL DRAWING RIGHTS 37.70 1.60 0.00 0.00 37.70 1.60
FOREIGN EXCHANGE 1,374.40 43.40 -5,389.00 -166.80 -4,014.60 -123.40
CURRENCY AND DEPOSIT 1,374.40 43.40 0.00 0.00 1,374.40 43.40
SECURITIES 0.00 0.00 -5,389.00 -166.80 -5,389.00 -166.80
Bonds and notes 0.00 0.00 -3,803.50 -118.30 -3,803.50 -118.30
Money market instr. and financial derivates 0.00 0.00 -1,585.50 -48.50 -1,585.50 -48.50
RESERVE ASSETS 378.90 13.80 -5,389.00 -166.80 -5,010.10 -153.00

Used exchange rate of USD 32.73 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