Data for the period

Slovak Republic - Balance of Payments - January to November 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 258,749.00 7,715.33 319,424.00 9,524.53 -60,675.00 -1,809.20
GOODS 2) 302,099.00 9,007.93 362,631.00 10,812.86 -60,532.00 -1,804.93
SERVICES 69,467.00 2,071.35 62,271.00 1,856.79 7,196.00 214.57
Transportation 26,431.00 788.11 10,428.00 310.94 16,003.00 477.17
Travel 16,447.00 490.41 13,862.00 413.33 2,585.00 77.08
Other services total 26,589.00 792.83 37,981.00 1,132.51 -11,392.00 -339.68
INCOME 9,707.00 289.44 14,119.00 421.00 -4,412.00 -131.56
Compensation of employees 616.00 18.37 282.00 8.41 334.00 9.96
Investment income 9,091.00 271.07 13,837.00 412.59 -4,746.00 -141.52
Current transfers 15,692.00 467.90 11,025.00 328.74 4,667.00 139.16
CURRENT ACCOUNT 1) 353,615.00 10,544.03 406,839.00 12,131.05 -53,224.00 -1,587.02
CURRENT ACCOUNT 2) 396,965.00 11,836.63 450,046.00 13,419.39 -53,081.00 -1,582.76
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 767,746.60 22,980.05 -721,581.00 -21,566.56 46,165.60 1,413.49
DIRECT INVESTMENT 124,598.40 3,715.25 -120,778.00 -3,601.34 3,820.40 113.92
ABROAD 2,260.60 67.41 -4,198.00 -125.18 -1,937.40 -57.77
Equity capital and reinvested earnings 156.60 4.67 -2,170.00 -64.70 -2,013.40 -60.04
Other capital 2,104.00 62.74 -2,028.00 -60.47 76.00 2.27
In SR 122,337.80 3,647.85 -116,580.00 -3,476.16 5,757.80 171.69
Equity capital and reinvested earnings 5,055.80 150.75 -473.00 -14.10 4,582.80 136.65
Other capital 117,282.00 3,497.09 -116,107.00 -3,462.06 1,175.00 35.04
PORTFOLIO INVESTMENT 10,165.40 303.11 -9,903.70 -295.31 261.70 7.80
Assets 6,372.40 190.01 -9,757.70 -290.95 -3,385.30 -100.94
Liabilities 3,793.00 113.10 -146.00 -4.35 3,647.00 108.75
OTHER INVESTMENT 632,982.80 18,961.69 -590,899.30 -17,669.92 42,083.50 1,291.77
Long-term 55,587.90 1,655.44 -19,976.90 -636.85 35,611.00 1,018.59
Assets 2,767.40 95.90 -504.10 -14.02 2,263.30 81.88
Liabilities 52,820.50 1,559.54 -19,472.80 -622.83 33,347.70 936.71
Short-term 577,394.90 17,306.25 -570,922.40 -17,033.06 6,472.50 273.18
Assets 210,884.00 6,288.13 -274,930.40 -8,207.23 -64,046.40 -1,919.10
Liabilities 366,510.90 11,018.12 -295,992.00 -8,825.83 70,518.90 2,192.28
CAPITAL AND FINANCIAL ACCOUNT 767,746.60 22,980.05 -721,581.00 -21,566.56 46,165.60 1,413.49
ERRORS AND OMISSIONS         11,354.40 291.27
OVERALL BALANCE -13,857.80 -434.00 18,296.80 556.00 4,439.00 122.00
MONETARY GOLD 4,005.40 115.40 0.00 0.00 4,005.40 115.40
SPECIAL DRAWING RIGHTS 497.80 15.00 0.00 0.00 497.80 15.00
FOREIGN EXCHANGE 9,354.60 303.60 -18,296.80 -556.00 -8,942.20 -252.40
CURRENCY AND DEPOSIT 0.00 0.00 -80.20 1.40 -80.20 1.40
SECURITIES 9,354.60 303.60 -18,216.60 -557.40 -8,862.00 -253.80
Bonds and notes 0.00 0.00 -18,216.60 -557.40 -18,216.60 -557.40
Money market instr. and financial derivates 9,354.60 303.60 0.00 0.00 9,354.60 303.60
RESERVE ASSETS 13,857.80 434.00 -18,296.80 -556.00 -4,439.00 -122.00

Used exchange rate of USD 33.537 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