Data for the period

Slovak Republic - Balance of Payments - January to May 1999

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 160,436.00 3,986.28 187,116.00 4,649.19 -26,680.00 -662.91
SERVICES 33,852.00 841.11 29,848.00 741.62 4,004.00 99.49
  Transportation 13,946.00 346.51 5,698.00 141.58 8,248.00 204.93
  Travel 7,402.00 183.91 5,352.00 132.98 2,050.00 50.94
  Other services total 12,504.00 310.68 18,798.00 467.07 -6,294.00 -156.38
INCOME 4,968.00 123.44 11,914.00 296.02 -6,946.00 -172.58
  Compensation of employees 376.00 9.34 114.00 2.83 262.00 6.51
  Investment income 4,592.00 114.10 11,800.00 293.19 -7,208.00 -179.09
CURRENT TRANSFERS 8,270.00 205.48 3,822.00 94.96 4,448.00 110.52
CURRENT ACCOUNT 207,526.00 5,156.31 232,700.00 5,781.80 -25,174.00 -625.49
CAPITAL ACCOUNT 1,501.00 37.29 -136.00 -3.38 1,365.00 33.92
FINANCIAL ACCOUNT 453,693.14 11,272.19 -442,158.10 -10,983.58 11,535.04 288.60
DIRECT INVESTMENT 129,718.00 3,223.05 -126,748.60 -3,149.27 2,969.40 73.78
ABROAD 1,060.00 26.34 -2,261.40 -56.19 -1,201.40 -29.85
  Equity capital and reinvested earnings 128.00 3.18 -1,236.40 -30.72 -1,108.40 -27.54
  Other capital 932.00 23.16 -1,025.00 -25.47 -93.00 -2.31
In SR 128,658.00 3,196.71 -124,487.20 -3,093.08 4,170.80 103.63
  Equity capital and reinvested earnings 4,510.00 112.06 -810.20 -20.13 3,699.80 91.93
  Other capital 124,148.00 3,084.65 -123,677.00 -3,072.95 471.00 11.70
PORTFOLIO INVESTMENT 11,290.54 280.53 -947.80 -23.55 10,342.74 256.98
  Assets 9,869.54 245.22 -394.80 -9.81 9,474.74 235.41
  Liabilities 1,421.00 35.31 -553.00 -13.74 868.00 21.57
OTHER INVESTMENT 312,684.60 7,768.61 -314,461.70 -7,810.76 -1,777.10 -42.16
Long-term 17,610.90 437.04 -19,757.40 -488.33 -2,146.50 -51.29
  Assets 129.50 3.15 -604.80 -15.05 -475.30 -11.90
  Liabilities 17,481.40 433.89 -19,152.60 -473.28 -1,671.20 -39.39
Short-term 295,073.70 7,331.57 -294,704.30 -7,322.44 369.40 9.13
  Assets 174,228.70 4,328.99 -114,071.00 -2,834.30 60,157.70 1,494.69
  Liabilities 120,845.00 3,002.58 -180,633.30 -4,488.14 -59,788.30 -1,485.55
CAPITAL AND FINANCIAL ACCOUNT 455,194.14 11,309.48 -442,294.10 -10,986.96 12,900.04 322.52
ERRORS AND OMISSIONS         2,636.36 87.98
OVERALL BALANCE -13,716.40 -354.79 4,078.80 139.80 -9,637.60 -214.99
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 51.50 0.89 0.00 0.00 51.50 0.89
FOREIGN EXCHANGE 13,664.90 353.90 -4,078.80 -139.80 9,586.10 214.10
CURRENCY AND DEPOSIT 0.00 0.00 -792.50 -23.50 -792.50 -23.50
SECURITIES 13,664.90 353.90 -3,286.30 -116.30 10,378.60 237.60
  Bonds and notes 0.00 0.00 -3,286.30 -116.30 -3,286.30 -116.30
  Money market instr. and financial derivates 13,664.90 353.90 0.00 0.00 13,664.90 353.90
RESERVE ASSETS 13,716.40 354.79 -4,078.80 -139.80 9,637.60 214.99

Used exchange rate of: USD = 40.247 SKK