sk sk

Data for the period


Revision February 2007
 

Slovak Republic – Balance of Payments – January to April 2003

 
  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 237,810.00 6,145.76 249,559.00 6,449.39 -11,749.00 -303.63
SERVICES 38,188.10 986.90 36,515.20 943.67 1,672.90 43.23
  Transportation 16,539.70 427.44 10,820.70 279.64 5,719.00 147.80
  Travel 9,732.30 251.51 6,921.50 178.87 2,810.80 72.64
  Other services total 11,916.10 307.95 18,773.00 485.15 -6,856.90 -177.20
INCOME 11,628.30 300.51 32,947.80 851.47 -21,319.50 -550.96
  Compensation of employees 5,785.20 149.51 179.40 4.64 5,605.80 144.87
  Investment income 5,843.10 151.00 32,768.40 846.84 -26,925.30 -695.83
CURRENT TRANSFERS 6,594.40 170.42 2,916.90 75.38 3,677.50 95.04
CURRENT ACCOUNT 294,220.80 7,603.59 321,938.90 8,319.91 -27,718.10 -716.32
CAPITAL ACCOUNT 1,172.00 30.29 653.10 16.88 518.90 13.41
FINANCIAL ACCOUNT 736,780.40 19,033.28 -720,702.40 -18,632.26 16,078.00 401.02
DIRECT INVESTMENT 189,260.40 4,891.08 -165,130.90 -4,267.50 24,129.50 623.58
ABROAD 10,842.60 280.21 -20,040.10 -517.90 -9,197.50 -237.69
  Equity capital 517.00 13.36 -84.00 -2.17 433.00 11.19
  Reinvested earnings 0.00 0.00 -425.10 -10.99 -425.10 -10.99
  Other capital 10,325.60 266.85 -19,531.00 -504.74 -9,205.40 -237.90
In SR 178,417.80 4,610.87 -145,090.80 -3,749.60 33,327.00 861.27
  Equity capital 13,958.00 360.72 -1,771.40 -45.78 12,186.60 314.94
  Reinvested earnings 18,518.70 478.58 0.00 0.00 18,518.70 478.58
  Other capital 145,941.10 3,771.58 -143,319.40 -3,703.82 2,621.70 67.75
PORTFOLIO INVESTMENT 169,766.70 4,387.30 -169,811.90 -4,388.47 -45.20 -1.17
  Assets 27,263.10 704.56 -32,218.30 -832.62 -4,955.20 -128.06
  Liabilities 142,503.60 3,682.74 -137,593.60 -3,555.85 4,910.00 126.89
OTHER INVESTMENT 377,753.30 9,754.90 -385,759.60 -9,976.28 -8,006.30 -221.39
Long-term 24,339.40 629.01 -28,782.40 -749.97 -4,443.00 -120.96
  Assets 10,324.90 266.83 -2,190.40 -56.61 8,134.50 210.22
  Liabilities 14,014.50 362.18 -26,592.00 -693.36 -12,577.50 -331.18
Short-term 353,413.90 9,125.89 -356,977.20 -9,226.32 -3,563.30 -100.43
  Assets 139,919.80 3,615.97 -152,179.70 -3,932.80 -12,259.90 -316.83
  Liabilities 213,494.10 5,509.92 -204,797.50 -5,293.52 8,696.60 216.41
CAPITAL AND FINANCIAL ACCOUNT 737,952.40 19,063.57 -721,355.50 -18,649.13 16,596.90 414.43
ERRORS AND OMISSIONS         15,294.10 395.09
OVERALL BALANCE -85,707.80 -2,223.20 89,880.70 2,316.40 4,172.90 93.20
MONETARY GOLD 0.00 0.00 0.00 0.00 0.00 0.00
SPECIAL DRAWING RIGHTS -0.20 0.00 0.00 0.00 -0.20 0.00
FOREIGN EXCHANGE 85,708.00 2,223.20 -89,880.70 -2,316.40 -4,172.70 -93.20
CURRENCY AND DEPOSIT 0.00 0.00 -16,190.70 -417.40 -16,190.70 -417.40
SECURITIES 85,708.00 2,223.20 -73,690.00 -1,899.00 12,018.00 324.20
  Bonds and notes 0.00 0.00 -73,690.00 -1,899.00 -73,690.00 -1,899.00
  Money market instr. and financial derivates 85,708.00 2,223.20 0.00 0.00 85,708.00 2,223.20
RESERVE ASSETS 85,707.80 2,223.20 -89,880.70 -2,316.40 -4,172.90 -93.20

Used exchange rate of USD = 38.695 SKK