Data for the period

Slovak Republic - Balance of Payments - January to June 1999

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 197,417.00 4,830.48 224,422.00 5,491.25 -27,005.00 -660.77
SERVICES 41,134.00 1,006.48 37,556.00 918.94 3,578.00 87.55
  Transportation 16,865.00 412.66 6,979.00 170.77 9,886.00 241.89
  Travel 9,453.00 231.30 6,809.00 166.61 2,644.00 64.69
  Other services total 14,816.00 362.52 23,768.00 581.57 -8,952.00 -219.04
INCOME 5,558.00 136.00 13,870.00 339.38 -8,312.00 -203.38
  Compensation of employees 431.00 10.55 142.00 3.47 289.00 7.07
  Investment income 5,127.00 125.45 13,728.00 335.90 -8,601.00 -210.45
CURRENT TRANSFERS 9,525.00 233.06 4,817.00 117.86 4,708.00 115.20
CURRENT ACCOUNT 253,634.00 6,206.02 280,665.00 6,867.43 -27,031.00 -661.41
CAPITAL ACCOUNT 4,405.00 107.78 -156.00 -3.82 4,249.00 103.97
FINANCIAL ACCOUNT 576,946.00 14,082.29 -545,851.20 -13,353.63 31,094.80 728.66
DIRECT INVESTMENT 163,310.00 3,995.94 -159,775.80 -3,909.46 3,534.20 86.48
ABROAD 1,152.00 28.19 -2,911.80 -71.25 -1,759.80 -43.06
  Equity capital and reinvested earnings 152.00 3.72 -1,516.80 -37.11 -1,364.80 -33.39
  Other capital 1,000.00 24.47 -1,395.00 -34.13 -395.00 -9.67
In SR 162,158.00 3,967.75 -156,864.00 -3,838.21 5,294.00 129.54
  Equity capital and reinvested earnings 5,630.00 137.76 -1,052.00 -25.74 4,578.00 112.02
  Other capital 156,528.00 3,829.99 -155,812.00 -3,812.47 716.00 17.52
PORTFOLIO INVESTMENT 31,830.60 744.52 -2,257.50 -55.24 29,573.10 689.28
  Assets 10,031.60 245.46 -1,455.50 -35.61 8,576.10 209.84
  Liabilities 21,799.00 499.06 -802.00 -19.62 20,997.00 479.44
OTHER INVESTMENT 381,805.40 9,341.83 -383,817.90 -9,388.93 -2,012.50 -47.09
Long-term 21,219.40 518.86 -25,445.80 -620.12 -4,226.40 -101.26
  Assets 221.80 5.43 -779.30 -19.03 -557.50 -13.60
  Liabilities 20,997.60 513.44 -24,666.50 -601.10 -3,668.90 -87.66
Short-term 360,586.00 8,822.97 -358,372.10 -8,768.81 2,213.90 54.16
  Assets 205,610.00 5,030.95 -140,898.00 -3,447.55 64,712.00 1,583.40
  Liabilities 154,976.00 3,792.02 -217,474.10 -5,321.26 -62,498.10 -1,529.24
CAPITAL AND FINANCIAL ACCOUNT 581,351.00 14,190.08 -546,007.20 -13,357.45 35,343.80 832.63
ERRORS AND OMISSIONS         1,512.40 57.28
OVERALL BALANCE -9,296.30 -264.10 19,121.50 492.60 9,825.20 228.50
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 51.50 0.80 0.00 0.00 51.50 0.80
FOREIGN EXCHANGE 9,244.80 263.30 -19,121.50 -492.60 -9,876.70 -229.30
CURRENCY AND DEPOSIT 0.00 0.00 -15,621.50 -417.10 -15,621.50 -417.10
SECURITIES 9,244.80 263.30 -3,500.00 -75.50 5,744.80 187.80
  Bonds and notes 0.00 0.00 -3,500.00 -75.50 -3,500.00 -75.50
  Money market instr. and financial derivates 9,244.80 263.30 0.00 0.00 9,244.80 263.30
RESERVE ASSETS 9,296.30 264.10 -19,121.50 -492.60 -9,825.20 -228.50

Used exchange rate of: USD = 40.869 SKK

Selected indicators under SDDS' specification

IMPORT OF GOODS AND SERVICES 261,978.00
EXPORT OF GOODS AND SERVICES 238,551.00
NET INCOME RECEIPTS -8,312.00
NET RECEIPTS FROM CURRENT TRANSFERS 4,708.00
CAPITAL TRANSFERS 4,249.00
FINANCIAL ACCOUNT 31,094.80
RESERVE ASSETS -9,825.20
DIRECT INVESTMENT 3,534.20
  Direct investment abroad -1,759.80
  Direct investment in SR 5,294.00
PORTFOLIO INVESTMENT 29,573.10
  Portfolio investment assets 8,576.10
  Portfolio investment liabilities 20,997.00
OTHER CAPITAL -2,012.50
  Other capital assets 64,154.50
  Other capital liabilities -66,167.00