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Data for the period
Slovak Republic – Balance of Payments – January to September 2004 |
||||||
Receipts/Credit (+) | Expenditures/Debit (-) | Balance | ||||
---|---|---|---|---|---|---|
mil. SKK | mil. USD | mil. SKK | mil. USD | mil. SKK | mil. USD | |
GOODS | 655,691.00 | 19,974.14 | 682,929.00 | 20,803.88 | -27,238.00 | -829.74 |
SERVICES | 87,251.50 | 2,657.92 | 81,268.40 | 2,475.66 | 5,983.10 | 182.26 |
Transportation | 36,215.30 | 1,103.22 | 23,247.70 | 708.19 | 12,967.60 | 395.03 |
Travel | 20,462.60 | 623.35 | 18,433.80 | 561.54 | 2,028.80 | 61.80 |
Other services total | 30,573.60 | 931.36 | 39,586.90 | 1,205.93 | -9,013.30 | -274.57 |
INCOME | 23,154.00 | 705.33 | 81,446.30 | 2,481.08 | -58,292.30 | -1,775.74 |
Compensation of employees | 11,737.20 | 357.55 | 532.00 | 16.21 | 11,205.20 | 341.34 |
Investment income | 11,416.80 | 347.79 | 80,914.30 | 2,464.87 | -69,497.50 | -2,117.08 |
CURRENT TRANSFERS | 18,472.90 | 562.73 | 16,040.60 | 488.64 | 2,432.30 | 74.09 |
CURRENT ACCOUNT | 784,569.40 | 23,900.12 | 861,684.30 | 26,249.26 | -77,114.90 | -2,349.13 |
CAPITAL ACCOUNT | 5,014.90 | 152.77 | 610.40 | 18.59 | 4,404.50 | 134.17 |
FINANCIAL ACCOUNT | 2,441,543.30 | 74,372.04 | -2,344,724.90 | -71,432.70 | 96,818.40 | 2,939.34 |
DIRECT INVESTMENT | 537,340.60 | 16,368.86 | -462,840.30 | -14,099.38 | 74,500.30 | 2,269.48 |
ABROAD | 31,866.40 | 970.74 | -29,459.40 | -897.41 | 2,407.00 | 73.32 |
Equity capital | 382.40 | 11.65 | -2,297.50 | -69.99 | -1,915.10 | -58.34 |
Reinvested earnings | 0.00 | -1,889.10 | -57.55 | -1,889.10 | -57.55 | |
Other capital | 31,484.00 | 959.09 | -25,272.80 | -769.88 | 6,211.20 | 189.21 |
In SR | 505,474.20 | 15,398.12 | -433,380.90 | -13,201.96 | 72,093.30 | 2,196.16 |
Equity capital | 31,122.30 | 948.07 | -4,276.20 | -130.26 | 26,846.10 | 817.81 |
Reinvested earnings | 39,016.30 | 1,188.54 | 0.00 | 39,016.30 | 1,188.54 | |
Other capital | 435,335.60 | 13,261.51 | -429,104.70 | -13,071.70 | 6,230.90 | 189.81 |
PORTFOLIO INVESTMENT | 269,981.40 | 8,201.03 | -233,273.60 | -7,102.10 | 36,707.80 | 1,098.93 |
Assets | 53,186.90 | 1,620.22 | -62,708.70 | -1,910.28 | -9,521.80 | -290.06 |
Liabilities | 216,794.50 | 6,580.81 | -170,564.90 | -5,191.82 | 46,229.60 | 1,388.99 |
FINANCIAL DERIVATES | 563,380.50 | 17,162.11 | -563,965.20 | -17,179.92 | -584.70 | -17.81 |
Assets | 224,972.40 | 6,853.27 | -226,246.10 | -6,892.07 | -1,273.70 | -38.80 |
Liabilities | 338,408.10 | 10,308.83 | -337,719.10 | -10,287.85 | 689.00 | 20.99 |
OTHER INVESTMENT | 1,070,840.80 | 32,640.04 | -1,084,645.80 | -33,051.30 | -13,805.00 | -411.26 |
Long-term | 106,025.80 | 3,225.72 | -120,758.40 | -3,677.86 | -14,732.60 | -452.14 |
Assets | 20,875.10 | 635.91 | -25,111.50 | -764.96 | -4,236.40 | -129.05 |
Liabilities | 85,150.70 | 2,589.81 | -95,646.90 | -2,912.89 | -10,496.20 | -323.09 |
Short-term | 964,815.00 | 29,414.32 | -963,887.40 | -29,373.44 | 927.60 | 40.88 |
Assets | 344,933.80 | 10,507.62 | -347,060.00 | -10,572.39 | -2,126.20 | -64.77 |
Liabilities | 619,881.20 | 18,906.70 | -616,827.40 | -18,801.05 | 3,053.80 | 105.65 |
CAPITAL AND FINANCIAL ACCOUNT | 2,446,558.20 | 74,524.81 | -2,345,335.30 | -71,451.29 | 101,222.90 | 3,073.51 |
ERRORS AND OMISSIONS | 9,940.90 | 347.92 | ||||
OVERALL BALANCE | -6,097.40 | -182.80 | 40,146.30 | 1,255.10 | 34,048.90 | 1,072.30 |
MONETARY GOLD | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
SPECIAL DRAWING RIGHTS | 0.00 | 0.00 | -0.80 | 0.00 | -0.80 | 0.00 |
FOREIGN EXCHANGE | 6,097.40 | 182.80 | -40,145.50 | -1,255.10 | -34,048.10 | -1,072.30 |
CURRENCY AND DEPOSIT | 6,097.40 | 182.80 | 0.00 | 0.00 | 6,097.40 | 182.80 |
SECURITIES | 0.00 | 0.00 | -40,145.50 | -1,255.10 | -40,145.50 | -1,255.10 |
Bonds and notes | 0.00 | 0.00 | -30,043.50 | -936.00 | -30,043.50 | -936.00 |
Money market instr. and financial derivates | 0.00 | 0.00 | -10,102.00 | -319.10 | -10,102.00 | -319.10 |
RESERVE ASSETS | 6,097.40 | 182.80 | -40,146.30 | -1,255.10 | -34,048.90 | -1,072.30 |
Used exchange rate of USD = 32.827 SKK
Selected indicators under SDDS’ specification
IMPORT OF GOODS AND SERVICES | 764,197.40 |
EXPORT OF GOODS AND SERVICES | 742,942.50 |
NET INCOME RECEIPTS | -58,292.30 |
NET RECEIPTS FROM CURRENT TRANSFERS | 2,432.30 |
CAPITAL TRANSFERS | 4,404.50 |
FINANCIAL ACCOUNT | 96,818.40 |
RESERVE ASSETS | -34,048.90 |
DIRECT INVESTMENT | 74,500.30 |
Direct investment abroad | 2,407.00 |
Direct investment in SR | 72,093.30 |
PORTFOLIO INVESTMENT | 36,707.80 |
Portfolio investment assets | -9,521.80 |
Portfolio investment liabilities | 46,229.60 |
FINANCIAL DERIVATES | -584.70 |
Financial derivates assets | -1,273.70 |
Financial derivates liabilities | 689.00 |
OTHER CAPITAL | -13,805.00 |
Other capital assets | -6,362.60 |
Other capital liabilities | -7,442.40 |