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Data for the period
Slovak Republic – Balance of Payments – January to September 2003 |
||||||
Receipts/Credit (+) | Expenditures/Debit (-) | Balance | ||||
---|---|---|---|---|---|---|
mil. SKK | mil. USD | mil. SKK | mil. USD | mil. SKK | mil. USD | |
GOODS | 581,601.00 | 15,527.58 | 596,386.00 | 15,922.31 | -14,785.00 | -394.73 |
SERVICES | 87,964.10 | 2,348.46 | 82,686.70 | 2,207.57 | 5,277.40 | 140.90 |
Transportation | 36,764.90 | 981.55 | 23,736.10 | 633.71 | 13,028.80 | 347.84 |
Travel | 24,204.70 | 646.22 | 16,130.20 | 430.64 | 8,074.50 | 215.57 |
Other services total | 26,994.50 | 720.70 | 42,820.40 | 1,143.22 | -15,825.90 | -422.52 |
INCOME | 27,281.20 | 728.35 | 79,645.50 | 2,126.37 | -52,364.30 | -1,398.02 |
Compensation of employees | 12,262.20 | 327.38 | 421.80 | 11.26 | 11,840.40 | 316.11 |
Investment income | 15,019.00 | 400.98 | 79,223.70 | 2,115.11 | -64,204.70 | -1,714.14 |
CURRENT TRANSFERS | 14,470.80 | 386.34 | 7,333.60 | 195.79 | 7,137.20 | 190.55 |
CURRENT ACCOUNT | 711,317.10 | 18,990.74 | 766,051.80 | 20,452.05 | -54,734.70 | -1,461.31 |
CAPITAL ACCOUNT | 4,930.00 | 131.62 | 2,255.70 | 60.22 | 2,674.30 | 71.40 |
FINANCIAL ACCOUNT | 1,774,191.50 | 47,343.57 | -1,739,876.00 | -46,467.17 | 34,315.50 | 876.40 |
DIRECT INVESTMENT | 472,931.40 | 12,626.32 | -426,914.40 | -11,397.76 | 46,017.00 | 1,228.56 |
ABROAD | 22,002.60 | 587.43 | -32,815.50 | -876.11 | -10,812.90 | -288.68 |
Equity capital | 687.30 | 18.35 | -279.70 | -7.47 | 407.60 | 10.88 |
Reinvested earnings | 0.00 | 0.00 | -956.40 | -25.53 | -956.40 | -25.53 |
Other capital | 21,315.30 | 569.08 | -31,579.40 | -843.11 | -10,264.10 | -274.03 |
In SR | 450,928.80 | 12,038.89 | -394,098.90 | -10,521.65 | 56,829.90 | 1,517.24 |
Equity capital | 28,437.00 | 759.21 | -2,999.90 | -80.09 | 25,437.10 | 679.12 |
Reinvested earnings | 41,667.20 | 1,112.43 | 0.00 | 0.00 | 41,667.20 | 1,112.43 |
Other capital | 380,824.60 | 10,167.25 | -391,099.00 | -10,441.56 | -10,274.40 | -274.31 |
PORTFOLIO INVESTMENT | 264,789.00 | 7,069.33 | -280,689.00 | -7,493.83 | -15,900.00 | -424.50 |
Assets | 55,555.10 | 1,483.21 | -71,868.20 | -1,918.74 | -16,313.10 | -435.53 |
Liabilities | 209,233.90 | 5,586.13 | -208,820.80 | -5,575.10 | 413.10 | 11.03 |
FINANCIAL DERIVATES | 116,425.10 | 3,108.32 | -116,740.50 | -3,116.74 | -315.40 | -8.42 |
Assets | 41,942.70 | 1,119.79 | -43,013.30 | -1,148.37 | -1,070.60 | -28.58 |
Liabilities | 74,482.40 | 1,988.53 | -73,727.20 | -1,968.37 | 755.20 | 20.16 |
OTHER INVESTMENT | 920,046.00 | 24,539.60 | -915,532.10 | -24,458.84 | 4,513.90 | 80.76 |
Long-term | 76,437.00 | 2,042.24 | -90,398.50 | -2,412.60 | -13,961.50 | -370.36 |
Assets | 19,163.80 | 512.26 | -8,472.40 | -226.20 | 10,691.40 | 286.06 |
Liabilities | 57,273.20 | 1,529.99 | -81,926.10 | -2,186.41 | -24,652.90 | -656.42 |
Short-term | 843,609.00 | 22,497.36 | -825,133.60 | -22,046.24 | 18,475.40 | 451.12 |
Assets | 314,789.00 | 8,404.23 | -331,484.70 | -8,849.98 | -16,695.70 | -445.74 |
Liabilities | 528,820.00 | 14,093.12 | -493,648.90 | -13,196.26 | 35,171.10 | 896.86 |
CAPITAL AND FINANCIAL ACCOUNT | 1,779,121.50 | 47,475.19 | -1,742,131.70 | -46,527.39 | 36,989.80 | 947.80 |
ERRORS AND OMISSIONS | 29,905.30 | 771.70 | ||||
OVERALL BALANCE | -89,489.50 | -2,378.90 | 101,649.90 | 2,637.10 | 12,160.40 | 258.20 |
MONETARY GOLD | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
SPECIAL DRAWING RIGHTS | 0.00 | 0.00 | -0.40 | 0.00 | -0.40 | 0.00 |
FOREIGN EXCHANGE | 89,489.50 | 2,378.90 | -101,649.50 | -2,637.10 | -12,160.00 | -258.20 |
CURRENCY AND DEPOSIT | 0.00 | 0.00 | -21,463.80 | -558.10 | -21,463.80 | -558.10 |
SECURITIES | 89,489.50 | 2,378.90 | -80,185.70 | -2,079.00 | 9,303.80 | 299.90 |
Bonds and notes | 0.00 | 0.00 | -80,185.70 | -2,079.00 | -80,185.70 | -2,079.00 |
Money market instr. and financial derivates | 89,489.50 | 2,378.90 | 0.00 | 0.00 | 89,489.50 | 2,378.90 |
RESERVE ASSETS | 89,489.50 | 2,378.90 | -101,649.90 | -2,637.10 | -12,160.40 | -258.20 |
Used exchange rate of USD = 37.456 SKK
Selected indicators under SDDS’ specification
IMPORT OF GOODS AND SERVICES | 679,072.70 |
EXPORT OF GOODS AND SERVICES | 669,565.10 |
NET INCOME RECEIPTS | -52,364.30 |
NET RECEIPTS FROM CURRENT TRANSFERS | 7,137.20 |
CAPITAL TRANSFERS | 2,674.30 |
FINANCIAL ACCOUNT | 34,315.50 |
RESERVE ASSETS | -12,160.40 |
DIRECT INVESTMENT | 46,017.00 |
Direct investment abroad | -10,812.90 |
Direct investment in SR | 56,829.90 |
PORTFOLIO INVESTMENT | -15,900.00 |
Portfolio investment assets | -16,313.10 |
Portfolio investment liabilities | 413.10 |
FINANCIAL DERIVATES | -315.40 |
Financial derivates assets | -1,070.60 |
Financial derivates liabilities | 755.20 |
OTHER CAPITAL | 4,513.90 |
Other capital assets | -6,004.30 |
Other capital liabilities | 10,518.20 |