Data for the period

Slovak Republic - Balance of Payments - January to October 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 233,541.00 6,963.47 291,699.00 8,697.57 -58,158.00 -1,734.09
GOODS 2) 272,380.00 8,121.53 329,731.00 9,831.56 -57,351.00 -1,710.03
SERVICES 62,947.00 1,876.89 56,592.00 1,687.40 6,355.00 189.49
Transportation 24,066.00 717.57 9,431.00 281.20 14,635.00 436.37
Travel 14,981.00 446.69 13,100.00 390.60 1,881.00 56.09
Other services total 23,900.00 712.62 34,061.00 1,015.59 -10,161.00 -302.97
INCOME 9,046.00 269.72 12,994.00 387.44 -3,948.00 -117.72
Compensation of employees 586.00 17.47 258.00 7.69 328.00 9.78
Investment income 8,460.00 252.25 12,736.00 379.75 -4,276.00 -127.50
Current transfers 14,338.00 427.52 10,191.00 303.86 4,147.00 123.65
CURRENT ACCOUNT 1) 319,872.00 9,537.60 371,476.00 11,076.27 -51,604.00 -1,538.67
CURRENT ACCOUNT 2) 358,711.00 10,695.66 409,508.00 12,210.27 -50,797.00 -1,514.61
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 694,325.60 20,751.30 -655,386.10 -19,563.64 38,939.50 1,187.66
DIRECT INVESTMENT 112,135.60 3,343.54 -109,816.20 -3,274.38 2,319.40 69.16
ABROAD 2,090.00 62.32 -3,935.20 -117.34 -1,845.20 -55.02
Equity capital and reinvested earnings 156.00 4.65 -2,094.20 -62.44 -1,938.20 -57.79
Other capital 1,934.00 57.67 -1,841.00 -54.89 93.00 2.77
In SR 110,045.60 3,281.22 -105,881.00 -3,157.05 4,164.60 124.18
Equity capital and reinvested earnings 3,685.60 109.89 -371.00 -11.06 3,314.60 98.83
Other capital 106,360.00 3,171.33 -105,510.00 -3,145.98 850.00 25.34
PORTFOLIO INVESTMENT 9,475.00 282.52 -8,959.30 -267.14 515.70 15.38
Assets 6,099.00 181.85 -8,812.30 -262.76 -2,713.30 -80.90
Liabilities 3,376.00 100.66 -147.00 -4.38 3,229.00 96.28
OTHER INVESTMENT 572,715.00 17,125.24 -536,610.60 -16,022.12 36,104.40 1,103.12
Long-term 45,465.60 1,345.13 -17,663.10 -543.43 27,802.50 801.70
Assets 1,778.80 53.04 -472.90 -7.12 1,305.90 45.92
Liabilities 43,686.80 1,292.10 -17,190.20 -536.32 26,496.60 755.78
Short-term 527,249.40 15,780.11 -518,947.50 -15,478.69 8,301.90 301.42
Assets 193,474.00 5,768.80 -253,197.50 -7,554.84 -59,723.50 -1,786.04
Liabilities 333,775.40 10,011.31 -265,750.00 -7,923.85 68,025.40 2,087.46
CAPITAL AND FINANCIAL ACCOUNT 694,325.60 20,751.30 -655,386.10 -19,563.64 38,939.50 1,187.66
ERRORS AND OMISSIONS         12,882.70 347.65
OVERALL BALANCE -13,454.40 -419.80 14,479.60 440.50 1,025.20 20.70
MONETARY GOLD 4,005.40 115.40 0.00 0.00 4,005.40 115.40
SPECIAL DRAWING RIGHTS 278.20 8.50 0.00 0.00 278.20 8.50
FOREIGN EXCHANGE 9,170.80 295.90 -14,479.60 -440.50 -5,308.80 -144.60
CURRENCY AND DEPOSIT 0.00 0.00 -2,455.00 -73.40 -2,455.00 -73.40
SECURITIES 9,170.80 295.90 -12,024.60 -367.10 -2,853.80 -71.20
Bonds and notes 0.00 0.00 -12,024.60 -367.10 -12,024.60 -367.10
Money market instr. and financial derivates 9,170.80 295.90 0.00 0.00 9,170.80 295.90
RESERVE ASSETS 13,454.40 419.80 -14,479.60 -440.50 -1,025.20 -20.70

Used exchange rate of USD 33.538 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