Data for the period

Slovak Republic - Balance of Payments - January to August 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 183,080.00 5,480.62 233,136.00 6,979.07 -50,056.00 -1,498.46
GOODS 2) 213,212.00 6,382.64 262,044.00 7,844.45 -48,832.00 -1,461.82
SERVICES 50,240.00 1,503.97 47,116.00 1,410.45 3,124.00 93.52
Transportation 19,041.00 570.00 7,473.00 223.71 11,568.00 346.30
Travel 11,991.00 358.96 10,796.00 323.19 1,195.00 35.77
Other services total 19,208.00 575.00 28,847.00 863.55 -9,639.00 -288.55
INCOME 6,676.00 199.85 9,323.00 279.09 -2,647.00 -79.24
Compensation of employees 433.00 12.96 194.00 5.81 239.00 7.15
Investment income 6,243.00 186.89 9,129.00 273.28 -2,886.00 -86.39
Current transfers 12,212.00 365.57 7,478.00 223.86 4,734.00 141.72
CURRENT ACCOUNT 1) 252,208.00 7,550.01 297,053.00 8,892.47 -44,845.00 -1,342.46
CURRENT ACCOUNT 2) 282,340.00 8,452.03 325,961.00 9,757.85 -43,621.00 -1,305.82
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 538,741.90 16,214.51 -512,773.40 -15,413.58 25,968.50 800.92
DIRECT INVESTMENT 89,173.00 2,669.45 -89,519.20 -2,679.81 -346.20 -10.36
ABROAD 1,390.00 41.61 -3,486.50 -104.37 -2,096.50 -62.76
Equity capital and reinvested earnings 144.00 4.31 -2,086.50 -62.46 -1,942.50 -58.15
Other capital 1,246.00 37.30 -1,400.00 -41.91 -154.00 -4.61
In SR 87,783.00 2,627.84 -86,032.70 -2,575.44 1,750.30 52.40
Equity capital and reinvested earnings 1,999.00 59.84 -397.70 -11.91 1,601.30 47.94
Other capital 85,784.00 2,568.00 -85,635.00 -2,563.54 149.00 4.46
PORTFOLIO INVESTMENT 2,539.60 76.02 -5,387.70 -161.28 -2,848.10 -85.26
Assets 2,047.60 61.30 -5,238.70 -156.82 -3,191.10 -95.53
Liabilities 492.00 14.73 -149.00 -4.46 343.00 10.27
OTHER INVESTMENT 447,029.30 13,469.03 -417,866.50 -12,572.49 29,162.80 896.55
Long-term 32,995.70 976.19 -13,591.20 -450.61 19,404.50 525.58
Assets 52.00 1.56 -635.40 -16.82 -583.40 -15.26
Liabilities 32,943.70 974.63 -12,955.80 -433.79 19,987.90 540.84
Short-term 414,033.60 12,492.84 -404,275.30 -12,121.88 9,758.30 370.97
Assets 151,885.70 4,558.46 -200,847.30 -6,032.13 -48,961.60 -1,473.67
Liabilities 262,147.90 7,934.38 -203,428.00 -6,089.75 58,719.90 1,844.64
CAPITAL AND FINANCIAL ACCOUNT 538,741.90 16,214.51 -512,773.40 -15,413.58 25,968.50 800.92
ERRORS AND OMISSIONS         14,640.80 405.20
OVERALL BALANCE -20,545.30 -641.20 17,533.60 541.50 -3,011.70 -99.70
MONETARY GOLD 4,005.40 115.40 0.00 0.00 4,005.40 115.40
SPECIAL DRAWING RIGHTS 455.70 13.80 0.00 0.00 455.70 13.80
FOREIGN EXCHANGE 16,084.20 512.00 -17,533.60 -541.50 -1,449.40 -29.50
CURRENCY AND DEPOSIT 965.00 32.50 0.00 0.00 965.00 32.50
SECURITIES 15,119.20 479.50 -17,533.60 -541.50 -2,414.40 -62.00
Bonds and notes 0.00 0.00 -17,533.60 -541.50 -17,533.60 -541.50
Money market instr. and financial derivates 15,119.20 479.50 0.00 0.00 15,119.20 479.50
RESERVE ASSETS 20,545.30 641.20 -17,533.60 -541.50 3,011.70 99.70

Used exchange rate of USD 33.405 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