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Data for the period
Slovak Republic – Balance of Payments – January to July 2005 |
||||||
Receipts/Credit (+) | Expenditures/Debit (-) | Balance | ||||
---|---|---|---|---|---|---|
mil. SKK | mil. USD | mil. SKK | mil. USD | mil. SKK | mil. USD | |
GOODS | 537,427.00 | 17,715.23 | 572,664.00 | 18,876.75 | -35,237.00 | -1,161.52 |
SERVICES | 75,086.20 | 2,475.07 | 68,704.10 | 2,264.70 | 6,382.10 | 210.37 |
Transportation | 27,747.70 | 914.65 | 20,200.80 | 665.88 | 7,546.90 | 248.77 |
Travel | 19,953.40 | 657.72 | 14,838.10 | 489.11 | 5,115.30 | 168.62 |
Other services total | 27,385.10 | 902.70 | 33,665.20 | 1,109.71 | -6,280.10 | -207.01 |
INCOME | 28,501.60 | 939.50 | 60,727.20 | 2,001.75 | -32,225.60 | -1,062.25 |
Compensation of employees | 17,250.00 | 568.61 | 616.20 | 20.31 | 16,633.80 | 548.30 |
Investment income | 11,251.60 | 370.89 | 60,111.00 | 1,981.44 | -48,859.40 | -1,610.55 |
CURRENT TRANSFERS | 24,793.70 | 817.28 | 25,179.90 | 830.01 | -386.20 | -12.73 |
CURRENT ACCOUNT | 665,808.50 | 21,947.08 | 727,275.20 | 23,973.21 | -61,466.70 | -2,026.13 |
CAPITAL ACCOUNT | 382.50 | 12.61 | 403.40 | 13.30 | -20.90 | -0.69 |
FINANCIAL ACCOUNT | 2,334,644.20 | 76,955.99 | -2,198,798.50 | -72,482.85 | 135,845.70 | 4,473.14 |
DIRECT INVESTMENT | 434,780.10 | 14,331.68 | -386,508.70 | -12,740.50 | 48,271.40 | 1,591.17 |
ABROAD | 26,215.20 | 864.13 | -26,770.40 | -882.43 | -555.20 | -18.30 |
Equity capital | 394.70 | 13.01 | -156.10 | -5.15 | 238.60 | 7.86 |
Reinvested earnings | 0.00 | 0.00 | -56.10 | -1.85 | -56.10 | -1.85 |
Other capital | 25,820.50 | 851.12 | -26,558.20 | -875.44 | -737.70 | -24.32 |
In SR | 408,564.90 | 13,467.54 | -359,738.30 | -11,858.07 | 48,826.60 | 1,609.47 |
Equity capital | 11,762.10 | 387.71 | -4,368.90 | -144.01 | 7,393.20 | 243.70 |
Reinvested earnings | 15,802.60 | 520.90 | 0.00 | 0.00 | 15,802.60 | 520.90 |
Other capital | 381,000.20 | 12,558.93 | -355,369.40 | -11,714.06 | 25,630.80 | 844.87 |
PORTFOLIO INVESTMENT | 484,676.60 | 15,976.42 | -493,399.80 | -16,250.72 | -8,723.20 | -274.30 |
Assets | 35,495.70 | 1,170.05 | -55,597.90 | -1,832.68 | -20,102.20 | -662.63 |
Liabilities | 449,180.90 | 14,806.37 | -437,801.90 | -14,418.04 | 11,379.00 | 388.33 |
FINANCIAL DERIVATES | 594,043.90 | 19,581.50 | -594,809.70 | -19,606.74 | -765.80 | -25.24 |
Assets | 249,675.40 | 8,230.06 | -254,415.50 | -8,386.31 | -4,740.10 | -156.25 |
Liabilities | 344,368.50 | 11,351.44 | -340,394.20 | -11,220.43 | 3,974.30 | 131.01 |
OTHER INVESTMENT | 821,143.60 | 27,066.40 | -724,080.30 | -23,884.88 | 97,063.30 | 3,181.52 |
Long-term | 59,032.30 | 1,945.03 | -67,460.70 | -2,246.30 | -8,428.40 | -301.27 |
Assets | 20,790.70 | 684.47 | -21,382.30 | -704.88 | -591.60 | -20.41 |
Liabilities | 38,241.60 | 1,260.56 | -46,078.40 | -1,541.42 | -7,836.80 | -280.86 |
Short-term | 762,111.30 | 25,121.37 | -656,619.60 | -21,638.59 | 105,491.70 | 3,482.79 |
Assets | 279,549.50 | 9,214.80 | -288,844.20 | -9,521.19 | -9,294.70 | -306.38 |
Liabilities | 482,561.80 | 15,906.57 | -367,775.40 | -12,117.40 | 114,786.40 | 3,789.17 |
CAPITAL AND FINANCIAL ACCOUNT | 2,335,026.70 | 76,968.60 | -2,199,201.90 | -72,496.15 | 135,824.80 | 4,472.46 |
ERRORS AND OMISSIONS | -4,608.60 | 68.47 | ||||
OVERALL BALANCE | -16,192.10 | -504.50 | 85,941.60 | 3,019.30 | 69,749.50 | 2,514.80 |
MONETARY GOLD | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
SPECIAL DRAWING RIGHTS | 0.00 | 0.00 | -0.20 | 0.00 | -0.20 | 0.00 |
FOREIGN EXCHANGE | 16,192.10 | 504.50 | -85,941.40 | -3,019.30 | -69,749.30 | -2,514.80 |
CURRENCY AND DEPOSIT | 16,192.10 | 504.50 | 0.00 | 0.00 | 16,192.10 | 504.50 |
SECURITIES | 0.00 | 0.00 | -85,941.40 | -3,019.30 | -85,941.40 | -3,019.30 |
Bonds and notes | 0.00 | 0.00 | -56,023.30 | -1,960.70 | -56,023.30 | -1,960.70 |
Money market instr. and financial derivates | 0.00 | 0.00 | -29,918.10 | -1,058.60 | -29,918.10 | -1,058.60 |
RESERVE ASSETS | 16,192.10 | 504.50 | -85,941.60 | -3,019.30 | -69,749.50 | -2,514.80 |
Used exchange rate of USD = 30.337 SKK