sk sk

Data for the period


Revision April 2004
 

Slovak Republic – Balance of Payments – January to June 2002

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 307,154.00 6,464.22 348,712.00 7,338.83 -41,558.00 -874.61
SERVICES 57,537.20 1,210.90 49,112.00 1,033.59 8,425.20 177.31
  Transportation 26,564.90 559.07 12,213.20 257.03 14,351.70 302.04
  Travel 12,133.20 255.35 10,561.00 222.26 1,572.20 33.09
  Other services total 18,839.10 396.48 26,337.80 554.29 -7,498.70 -157.81
INCOME 8,048.00 169.37 19,178.90 403.63 -11,130.90 -234.26
  Compensation of employees 488.30 10.28 273.30 5.75 215.00 4.52
  Investment income 7,559.70 159.10 18,905.60 397.88 -11,345.90 -238.78
CURRENT TRANSFERS 10,200.00 214.66 6,786.60 142.83 3,413.40 71.84
CURRENT ACCOUNT 382,939.20 8,059.16 423,789.50 8,918.88 -40,850.30 -859.72
CAPITAL ACCOUNT 2,571.80 54.12 755.20 15.89 1,816.60 38.23
FINANCIAL ACCOUNT 1,093,523.10 23,005.60 -1,080,843.70 -22,742.93 12,679.40 262.66
DIRECT INVESTMENT 137,040.30 2,884.09 -124,479.40 -2,619.74 12,560.90 264.35
ABROAD 7,654.00 161.08 -7,954.00 -167.40 -300.00 -6.31
  Equity capital and reinvested earnings 520.00 10.94 -1,115.00 -23.47 -595.00 -12.52
  Other capital 7,134.00 150.14 -6,839.00 -143.93 295.00 6.21
In SR 129,386.30 2,723.00 -116,525.40 -2,452.34 12,860.90 270.66
  Equity capital and reinvested earnings 20,868.30 439.18 -2,585.40 -54.41 18,282.90 384.77
  Other capital 108,518.00 2,283.82 -113,940.00 -2,397.93 -5,422.00 -114.11
PORTFOLIO INVESTMENT 226,662.80 4,770.24 -215,229.80 -4,529.63 11,433.00 240.61
  Assets 114,704.80 2,414.02 -109,683.90 -2,308.36 5,020.90 105.67
  Liabilities 111,958.00 2,356.22 -105,545.90 -2,221.27 6,412.10 134.95
FINANCIAL DERIVATES 0.00 0.00 0.00 0.00 0.00 0.00
  Assets 0.00 0.00 0.00 0.00 0.00 0.00
  Liabilities 0.00 0.00 0.00 0.00 0.00 0.00
OTHER INVESTMENT 729,820.00 15,351.27 -741,134.50 -15,593.57 -11,314.50 -242.30
Long-term 14,954.40 314.61 -19,178.90 -403.12 -4,224.50 -88.51
  Assets 4,268.90 89.78 -1,898.60 -39.96 2,370.30 49.82
  Liabilities 10,685.50 224.84 -17,280.30 -363.17 -6,594.80 -138.33
Short-term 714,865.60 15,036.66 -721,955.60 -15,190.44 -7,090.00 -153.79
  Assets 459,315.70 9,666.55 -456,940.30 -9,616.56 2,375.40 49.99
  Liabilities 255,549.90 5,370.11 -265,015.30 -5,573.89 -9,465.40 -203.78
CAPITAL AND FINANCIAL ACCOUNT 1,096,094.90 23,059.72 -1,081,598.90 -22,758.83 14,496.00 300.89
ERRORS AND OMISSIONS         7,217.10 148.12
OVERALL BALANCE -20,752.40 -444.70 1,615.20 34.00 -19,137.20 -410.70
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS 0.00 0.00 0.00 0.00 0.00 0.00
FOREIGN EXCHANGE 20,752.40 444.70 -1,615.20 -34.00 19,137.20 410.70
CURRENCY AND DEPOSIT 20,230.60 433.20 0.00 0.00 20,230.60 433.20
SECURITIES 521.80 11.50 -1,615.20 -34.00 -1,093.40 -22.50
  Bonds and notes 0.00 0.00 -1,615.20 -34.00 -1,615.20 -34.00
  Money market instr. and financial derivates 521.80 11.50 0.00 0.00 521.80 11.50
RESERVE ASSETS 20,752.40 444.70 -1,615.20 -34.00 19,137.20 410.70

Used exchange rate of USD = 47.516 SKK

Selected indicators under SDDS’ specification

IMPORT OF GOODS AND SERVICES 397,824.00
EXPORT OF GOODS AND SERVICES 364,691.20
NET INCOME RECEIPTS -11,130.90
NET RECEIPTS FROM CURRENT TRANSFERS 3,413.40
CAPITAL TRANSFERS 1,816.60
FINANCIAL ACCOUNT 12,679.40
RESERVE ASSETS 19,137.20
DIRECT INVESTMENT 12,560.90
  Direct investment abroad -300.00
  Direct investment in SR 12,860.90
PORTFOLIO INVESTMENT 11,433.00
  Portfolio investment assets 5,020.90
  Portfolio investment liabilities 6,412.10
FINANCIAL DERIVATES 0.00
  Financial derivates assets 0.00
  Financial derivates liabilities 0.00
OTHER CAPITAL -11,314.50
  Other capital assets 4,745.70
  Other capital liabilities -16,060.20