Data for the period

Slovak Republic - Balance of Payments - January to July 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 160,379.00 4,829.24 207,042.00 6,234.33 -46,663.00 -1,405.09
GOODS 2) 188,347.00 5,671.39 232,408.00 6,998.13 -44,061.00 -1,326.74
SERVICES 43,493.00 1,309.64 41,314.00 1,244.02 2,179.00 65.61
Transportation 16,391.00 493.56 6,787.00 204.37 9,604.00 289.19
Travel 10,384.00 312.68 9,430.00 283.95 954.00 28.73
Other services total 16,718.00 503.40 25,097.00 755.71 -8,379.00 -252.30
INCOME 5,734.00 172.66 7,856.00 236.56 -2,122.00 -63.90
Compensation of employees 376.00 11.32 166.00 5.00 210.00 6.32
Investment income 5,358.00 161.34 7,690.00 231.56 -2,332.00 -70.22
Current transfers 9,647.00 290.48 6,333.00 190.70 3,314.00 99.79
CURRENT ACCOUNT 1) 219,253.00 6,602.02 262,545.00 7,905.60 -43,292.00 -1,303.58
CURRENT ACCOUNT 2) 247,221.00 7,444.17 287,911.00 8,669.41 -40,690.00 -1,225.23
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 461,748.20 14,012.11 -442,767.00 -13,397.35 18,981.20 614.76
DIRECT INVESTMENT 74,152.00 2,232.82 -75,142.70 -2,262.65 -990.70 -29.83
ABROAD 1,161.00 34.96 -3,227.00 -97.17 -2,066.00 -62.21
Equity capital and reinvested earnings 122.00 3.67 -2,067.00 -62.24 -1,945.00 -58.57
Other capital 1,039.00 31.29 -1,160.00 -34.93 -121.00 -3.64
In SR 72,991.00 2,197.86 -71,915.70 -2,165.48 1,075.30 32.38
Equity capital and reinvested earnings 1,769.00 53.27 -927.70 -27.93 841.30 25.33
Other capital 71,222.00 2,144.60 -70,988.00 -2,137.55 234.00 7.05
PORTFOLIO INVESTMENT 1,318.40 39.70 -5,056.50 -152.26 -3,738.10 -112.56
Assets 831.40 25.03 -4,913.50 -147.95 -4,082.10 -122.92
Liabilities 487.00 14.66 -143.00 -4.31 344.00 10.36
OTHER INVESTMENT 386,277.80 11,739.59 -362,567.80 -10,982.44 23,710.00 757.15
Long-term 28,996.40 855.16 -12,653.30 -423.97 16,343.10 431.19
Assets 1,208.00 36.37 -814.90 -10.42 393.10 25.95
Liabilities 27,788.40 818.79 -11,838.40 -413.55 15,950.00 405.24
Short-term 357,281.40 10,884.42 -349,914.50 -10,558.47 7,366.90 325.96
Assets 131,112.10 3,963.04 -175,954.50 -5,320.29 -44,842.40 -1,357.24
Liabilities 226,169.30 6,921.38 -173,960.00 -5,238.18 52,209.30 1,683.20
CAPITAL AND FINANCIAL ACCOUNT 461,748.20 14,012.11 -442,767.00 -13,397.35 18,981.20 614.76
ERRORS AND OMISSIONS         14,288.50 383.58
OVERALL BALANCE -19,512.70 -608.20 12,092.40 381.30 -7,420.30 -226.90
MONETARY GOLD 653.00 18.90 0.00 0.00 653.00 18.90
SPECIAL DRAWING RIGHTS 229.00 7.30 0.00 0.00 229.00 7.30
FOREIGN EXCHANGE 18,630.70 582.00 -12,092.40 -381.30 6,538.30 200.70
CURRENCY AND DEPOSIT 2,273.90 70.70 0.00 0.00 2,273.90 70.70
SECURITIES 16,356.80 511.30 -12,092.40 -381.30 4,264.40 130.00
Bonds and notes 0.00 0.00 -12,092.40 -381.30 -12,092.40 -381.30
Money market instr. and financial derivates 16,356.80 511.30 0.00 0.00 16,356.80 511.30
RESERVE ASSETS 19,512.70 608.20 -12,092.40 -381.30 7,420.30 226.90

Used exchange rate of USD 33.210 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