sk sk

Data for the period

Slovak Republic – Balance of Payments – January to June 1997

  Receipts/Credit (+) Expenditures/Debit (-) Balance
mil. SKK mil. USD mil. SKK mil. USD mil. SKK mil. USD
GOODS 1) 135,357.00 4,097.38 178,262.00 5,396.16 -42,905.00 -1,298.77
GOODS 2) 161,645.00 4,893.14 199,275.00 6,032.24 -37,630.00 -1,139.09
SERVICES 34,838.00 1,054.58 32,965.00 997.88 1,873.00 56.70
Transportation 13,977.00 423.10 6,018.00 182.17 7,959.00 240.93
Travel 8,474.00 256.52 7,679.00 232.45 795.00 24.07
Other services total 12,387.00 374.97 19,268.00 583.26 -6,881.00 -208.29
INCOME 4,993.60 151.16 5,889.00 178.27 -895.40 -27.10
Compensation of employees 316.00 9.57 130.00 3.94 186.00 5.63
Investment income 4,677.60 141.60 5,759.00 174.33 -1,081.40 -32.73
Current transfers 6,707.00 203.03 5,188.00 157.05 1,519.00 45.98
CURRENT ACCOUNT 1) 181,895.60 5,506.15 222,304.00 6,729.35 -40,408.40 -1,223.20
CURRENT ACCOUNT 2) 208,183.60 6,301.91 243,317.00 7,365.43 -35,133.40 -1,063.52
CAPITAL ACCOUNT 0.00 0.00 0.00 0.00 0.00 0.00
FINANCIAL ACCOUNT 386,002.00 11,794.19 -372,886.40 -11,365.10 13,115.60 429.09
DIRECT INVESTMENT 62,442.00 1,890.18 -63,187.90 -1,912.76 -745.90 -22.58
ABROAD 996.00 30.15 -2,981.90 -90.26 -1,985.90 -60.12
Equity capital and reinvested earnings 77.00 2.33 -2,062.90 -62.45 -1,985.90 -60.12
Other capital 919.00 27.82 -919.00 -27.82 0.00 0.00
In SR 61,446.00 1,860.03 -60,206.00 -1,822.49 1,240.00 37.54
Equity capital and reinvested earnings 1,727.00 52.28 -649.00 -19.65 1,078.00 32.63
Other capital 59,719.00 1,807.75 -59,557.00 -1,802.85 162.00 4.90
PORTFOLIO INVESTMENT 799.00 24.19 -5,275.10 -159.68 -4,476.10 -135.50
Assets 729.00 22.07 -5,164.10 -156.32 -4,435.10 -134.25
Liabilities 70.00 2.12 -111.00 -3.36 -41.00 -1.24
OTHER INVESTMENT 322,761.00 9,879.83 -304,423.40 -9,292.66 18,337.60 587.16
Long-term 25,005.40 747.39 -10,958.60 -353.73 14,046.80 393.66
Assets 1,036.00 31.36 -823.20 -18.60 212.80 12.76
Liabilities 23,969.40 716.03 -10,135.40 -335.13 13,834.00 380.90
Short-term 297,755.60 9,132.44 -293,464.80 -8,938.94 4,290.80 193.50
Assets 110,817.50 3,362.66 -147,499.70 -4,472.04 -36,682.20 -1,109.38
Liabilities 186,938.10 5,769.78 -145,965.10 -4,466.90 40,973.00 1,302.88
CAPITAL AND FINANCIAL ACCOUNT 386,002.00 11,794.19 -372,886.40 -11,365.10 13,115.60 429.09
ERRORS AND OMISSIONS         12,590.80 352.83
OVERALL BALANCE -20,753.50 -643.10 11,326.50 361.50 -9,427.00 -281.60
MONETARY GOLD 351.10 10.20 0.00 0.00 351.10 10.20
SPECIAL DRAWING RIGHTS 0.00 0.00 -21.50 0.00 -21.50 0.00
FOREIGN EXCHANGE 20,402.40 632.90 -11,305.00 -361.50 9,097.40 271.40
CURRENCY AND DEPOSIT 3,840.40 118.70 0.00 0.00 3,840.40 118.70
SECURITIES 16,562.00 514.20 -11,305.00 -361.50 5,257.00 152.70
Bonds and notes 0.00 0.00 -11,305.00 -361.50 -11,305.00 -361.50
Money market instr. and financial derivates 16,562.00 514.20 0.00 0.00 16,562.00 514.20
RESERVE ASSETS 20,753.50 643.10 -11,326.50 -361.50 9,427.00 281.60

Used exchange rate of USD 33.04 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