Data for the period

Slovak Republic - Balance of Payments - January to July 1998

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 211,858.00 6,065.56 258,167.00 7,391.41 -46,309.00 -1,325.84
SERVICES 45,513.00 1,303.05 46,596.00 1,334.06 -1,083.00 -31.01
  Transportation 17,911.00 512.80 9,044.00 258.93 8,867.00 253.87
  Travel 7,719.00 221.00 9,204.00 263.51 -1,485.00 -42.52
  Other services total 19,883.00 569.26 28,348.00 811.61 -8,465.00 -242.36
INCOME 9,262.00 265.17 11,667.00 334.03 -2,405.00 -68.86
  Compensation of employees 446.00 12.77 134.00 3.84 312.00 8.93
  Investment income 8,816.00 252.40 11,533.00 330.19 -2,717.00 -77.79
Current transfers 12,568.00 359.83 5,700.00 163.19 6,868.00 196.63
CURRENT ACCOUNT 279,201.00 7,993.62 322,130.00 9,222.69 -42,929.00 -1,229.07
CAPITAL ACCOUNT 1,520.00 43.52 -231.00 -6.61 1,289.00 36.90
FINANCIAL ACCOUNT 550,141.10 15,772.97 -488,573.40 -13,989.17 61,567.70 1,783.80
DIRECT INVESTMENT 120,782.80 3,458.05 -115,683.00 -3,312.04 5,099.80 146.01
ABROAD 927.50 26.55 -3,825.00 -109.51 -2,897.50 -82.96
  Equity capital and reinvested earnings 169.50 4.85 -2,897.00 -82.94 -2,727.50 -78.09
  Other capital 758.00 21.70 -928.00 -26.57 -170.00 -4.87
In SR 119,855.30 3,431.50 -111,858.00 -3,202.53 7,997.30 228.97
  Equity capital and reinvested earnings 8,889.30 254.50 -574.00 -16.43 8,315.30 238.07
  Other capital 110,966.00 3,176.99 -111,284.00 -3,186.10 -318.00 -9.10
PORTFOLIO INVESTMENT 31,618.80 920.42 -4,054.30 -116.08 27,564.50 804.35
  Assets 1,963.00 56.20 -1,840.30 -52.69 122.70 3.51
  Liabilities 29,655.80 864.22 -2,214.00 -63.39 27,441.80 800.84
OTHER INVESTMENT 397,739.50 11,394.50 -368,836.10 -10,561.06 28,903.40 833.44
Long-term 36,408.90 1,041.18 -14,952.60 -425.57 21,456.30 615.61
  Assets 4,102.10 116.74 -106.90 -3.59 3,995.20 113.16
  Liabilities 32,306.80 924.44 -14,845.70 -421.98 17,461.10 502.45
Short-term 361,330.60 10,353.32 -353,883.50 -10,135.49 7,447.10 217.83
  Assets 136,225.50 3,899.38 -163,666.50 -4,682.31 -27,441.00 -782.93
  Liabilities 225,105.10 6,453.94 -190,217.00 -5,453.18 34,888.10 1,000.76
CAPITAL AND FINANCIAL ACCOUNT 551,661.10 15,816.49 -488,804.40 -13,995.79 62,856.70 1,820.71
ERRORS AND OMISSIONS         -5,014.80 -155.03
OVERALL BALANCE -576.80 -16.80 15,489.70 453.40 14,912.90 436.60
MONETARY GOLD 0.00 0.00 -2,419.80 -69.10 -2,419.80 -69.10
SPECIAL DRAWING RIGHTS 576.80 16.80 0.00 0.00 576.80 16.80
FOREIGN EXCHANGE 0.00 0.00 -13,069.90 -384.30 -13,069.90 -384.30
CURRENCY AND DEPOSIT 0.00 0.00 -9,828.40 -283.80 -9,828.40 -283.80
SECURITIES 0.00 0.00 -3,241.50 -100.50 -3,241.50 -100.50
  Bonds and notes 0.00 0.00 -1,591.10 -50.00 -1,591.10 -50.00
  Money market instr. and financial derivates 0.00 0.00 -1,650.40 -50.50 -1,650.40 -50.50
RESERVE ASSETS 576.80 16.80 -15,489.70 -453.40 -14,912.90 -436.60

Used exchange rate of: USD = 34.928 SKK