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Data for the period
Slovak Republic – Balance of Payments – January to July 2004 |
||||||
Receipts/Credit (+) | Expenditures/Debit (-) | Balance | ||||
---|---|---|---|---|---|---|
mil. SKK | mil. USD | mil. SKK | mil. USD | mil. SKK | mil. USD | |
GOODS | 506,831.00 | 15,446.98 | 523,654.00 | 15,959.71 | -16,823.00 | -512.72 |
SERVICES | 69,160.80 | 2,107.85 | 63,414.30 | 1,932.71 | 5,746.50 | 175.14 |
Transportation | 28,910.00 | 881.11 | 18,236.70 | 555.81 | 10,673.30 | 325.30 |
Travel | 14,230.00 | 433.70 | 13,602.40 | 414.57 | 627.60 | 19.13 |
Other services total | 26,020.80 | 793.05 | 31,575.20 | 962.34 | -5,554.40 | -169.28 |
INCOME | 17,373.50 | 529.50 | 65,423.90 | 1,993.96 | -48,050.40 | -1,464.46 |
Compensation of employees | 8,583.20 | 261.60 | 428.60 | 13.06 | 8,154.60 | 248.53 |
Investment income | 8,790.30 | 267.91 | 64,995.30 | 1,980.90 | -56,205.00 | -1,712.99 |
CURRENT TRANSFERS | 16,134.70 | 491.75 | 11,976.10 | 365.00 | 4,158.60 | 126.74 |
CURRENT ACCOUNT | 609,500.00 | 18,576.09 | 664,468.30 | 20,251.39 | -54,968.30 | -1,675.30 |
CAPITAL ACCOUNT | 1,777.50 | 54.17 | 442.30 | 13.48 | 1,335.20 | 40.69 |
FINANCIAL ACCOUNT | 1,968,297.90 | 59,732.35 | -1,875,338.80 | -56,876.76 | 92,959.10 | 2,855.59 |
DIRECT INVESTMENT | 423,461.20 | 12,906.07 | -356,361.50 | -10,861.04 | 67,099.70 | 2,045.04 |
ABROAD | 25,633.20 | 781.24 | -20,524.60 | -625.54 | 5,108.60 | 155.70 |
Equity capital | 362.60 | 11.05 | -1,297.10 | -39.53 | -934.50 | -28.48 |
Reinvested earnings | 0.00 | -1,469.30 | -44.78 | -1,469.30 | -44.78 | |
Other capital | 25,270.60 | 770.19 | -17,758.20 | -541.23 | 7,512.40 | 228.96 |
In SR | 397,828.00 | 12,124.84 | -335,836.90 | -10,235.50 | 61,991.10 | 1,889.34 |
Equity capital | 27,150.40 | 827.48 | -2,926.80 | -89.20 | 24,223.60 | 738.28 |
Reinvested earnings | 30,346.00 | 924.87 | 0.00 | 30,346.00 | 924.87 | |
Other capital | 340,331.60 | 10,372.48 | -332,910.10 | -10,146.30 | 7,421.50 | 226.19 |
PORTFOLIO INVESTMENT | 209,766.60 | 6,369.40 | -179,314.20 | -5,460.85 | 30,452.40 | 908.55 |
Assets | 48,190.50 | 1,468.73 | -57,209.90 | -1,743.62 | -9,019.40 | -274.89 |
Liabilities | 161,576.10 | 4,900.67 | -122,104.30 | -3,717.23 | 39,471.80 | 1,183.44 |
FINANCIAL DERIVATES | 462,839.60 | 14,106.23 | -463,494.80 | -14,126.20 | -655.20 | -19.97 |
Assets | 185,161.50 | 5,643.28 | -186,587.30 | -5,686.73 | -1,425.80 | -43.45 |
Liabilities | 277,678.10 | 8,462.96 | -276,907.50 | -8,439.47 | 770.60 | 23.49 |
OTHER INVESTMENT | 872,230.50 | 26,350.64 | -876,168.30 | -26,428.67 | -3,937.80 | -78.03 |
Long-term | 91,714.80 | 2,792.56 | -103,564.80 | -3,156.69 | -11,850.00 | -364.13 |
Assets | 16,018.10 | 488.19 | -19,167.70 | -584.19 | -3,149.60 | -95.99 |
Liabilities | 75,696.70 | 2,304.37 | -84,397.10 | -2,572.50 | -8,700.40 | -268.14 |
Short-term | 780,515.70 | 23,558.08 | -772,603.50 | -23,271.98 | 7,912.20 | 286.10 |
Assets | 272,383.90 | 8,301.60 | -263,748.60 | -8,038.42 | 8,635.30 | 263.18 |
Liabilities | 508,131.80 | 15,256.48 | -508,854.90 | -15,233.56 | -723.10 | 22.92 |
CAPITAL AND FINANCIAL ACCOUNT | 1,970,075.40 | 59,786.52 | -1,875,781.10 | -56,890.24 | 94,294.30 | 2,896.28 |
ERRORS AND OMISSIONS | 4,858.70 | 160.72 | ||||
OVERALL BALANCE | -12,995.90 | -377.70 | 57,180.60 | 1,759.40 | 44,184.70 | 1,381.70 |
MONETARY GOLD | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
SPECIAL DRAWING RIGHTS | 0.00 | 0.00 | -0.70 | 0.00 | -0.70 | 0.00 |
FOREIGN EXCHANGE | 12,995.90 | 377.70 | -57,179.90 | -1,759.40 | -44,184.00 | -1,381.70 |
CURRENCY AND DEPOSIT | 0.00 | 0.00 | -36,400.30 | -1,106.30 | -36,400.30 | -1,106.30 |
SECURITIES | 12,995.90 | 377.70 | -20,779.60 | -653.10 | -7,783.70 | -275.40 |
Bonds and notes | 0.00 | 0.00 | -20,779.60 | -653.10 | -20,779.60 | -653.10 |
Money market instr. and financial derivates | 12,995.90 | 377.70 | 0.00 | 0.00 | 12,995.90 | 377.70 |
RESERVE ASSETS | 12,995.90 | 377.70 | -57,180.60 | -1,759.40 | -44,184.70 | -1,381.70 |
Used exchange rate of USD = 32.811 SKK