sk sk

Data for the period

Slovak Republic – Balance of Payments – January to May 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 111,173.00 3,374.30 149,007.00 4,522.63 -37,834.00 -1,148.33
GOODS 2) 131,735.00 3,998.39 166,417.00 5,051.05 -34,682.00 -1,052.66
SERVICES 27,932.00 847.79 25,700.00 780.04 2,232.00 67.75
Transportation 11,657.00 353.81 4,912.00 149.09 6,745.00 204.72
Travel 6,601.00 200.35 5,437.00 165.02 1,164.00 35.33
Other services total 9,674.00 293.62 15,351.00 465.93 -5,677.00 -172.31
INCOME 2,952.00 89.60 4,261.00 129.33 -1,309.00 -39.73
Compensation of employees 265.00 8.04 112.00 3.40 153.00 4.64
Investment income 2,687.00 81.56 4,149.00 125.93 -1,462.00 -44.37
Current transfers 5,038.00 152.91 3,796.00 115.22 1,242.00 37.70
CURRENT ACCOUNT 1) 147,095.00 4,464.59 182,764.00 5,547.21 -35,669.00 -1,082.62
CURRENT ACCOUNT 2) 167,657.00 5,088.69 200,174.00 6,075.64 -32,517.00 -986.95
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 306,375.80 9,429.93 -298,342.50 -9,160.05 8,033.30 269.88
DIRECT INVESTMENT 48,834.00 1,482.20 -49,529.90 -1,503.32 -695.90 -21.12
ABROAD 698.00 21.19 -2,234.70 -67.83 -1,536.70 -46.64
Equity capital and reinvested earnings 43.00 1.31 -1,506.70 -45.73 -1,463.70 -44.43
Other capital 655.00 19.88 -728.00 -22.10 -73.00 -2.22
In SR 48,136.00 1,461.01 -47,295.20 -1,435.49 840.80 25.52
Equity capital and reinvested earnings 1,604.00 48.68 -1,140.20 -34.61 463.80 14.08
Other capital 46,532.00 1,412.33 -46,155.00 -1,400.89 377.00 11.44
PORTFOLIO INVESTMENT 1,365.60 41.45 -2,393.50 -72.65 -1,027.90 -31.20
Assets 1,348.60 40.93 -2,302.50 -69.88 -953.90 -28.95
Liabilities 17.00 0.52 -91.00 -2.76 -74.00 -2.25
OTHER INVESTMENT 256,176.20 7,906.28 -246,419.10 -7,584.08 9,757.10 322.20
Long-term 17,103.80 511.36 -8,858.30 -292.94 8,245.50 218.43
Assets 1,034.40 32.89 -212.40 0.31 822.00 33.20
Liabilities 16,069.40 478.47 -8,645.90 -293.24 7,423.50 185.23
Short-term 239,072.40 7,394.92 -237,560.80 -7,291.14 1,511.60 103.78
Assets 89,001.50 2,709.36 -115,511.60 -3,525.19 -26,510.10 -815.83
Liabilities 150,070.90 4,685.56 -122,049.20 -3,765.95 28,021.70 919.61
CAPITAL AND FINANCIAL ACCOUNT 306,375.80 9,429.93 -298,342.50 -9,160.05 8,033.30 269.88
ERRORS AND OMISSIONS         11,988.60 343.36
OVERALL BALANCE -20,971.30 -649.10 8,476.20 275.40 -12,495.10 -373.70
MONETARY GOLD -1,033.20 -31.20 0.00 0.00 -1,033.20 -31.20
SPECIAL DRAWING RIGHTS 461.60 14.50 0.00 0.00 461.60 14.50
FOREIGN EXCHANGE 21,542.90 665.80 -8,476.20 -275.40 13,066.70 390.40
CURRENCY AND DEPOSIT 5,373.70 166.30 0.00 0.00 5,373.70 166.30
SECURITIES 16,169.20 499.50 -8,476.20 -275.40 7,693.00 224.10
Bonds and notes 0.00 0.00 -8,476.20 -275.40 -8,476.20 -275.40
Money market instr. and financial derivates 16,169.20 499.50 0.00 0.00 16,169.20 499.50
RESERVE ASSETS 20,971.30 649.10 -8,476.20 -275.40 12,495.10 373.70

Used exchange rate of USD 32.95 SKK

1) Definitive figures of foreign trade SR according to old metodology- data are comparable with years 1993-1996
2) Definitive figures of foreign trade SR according to new metodology- data are comparable with year 1998