-
NBS Tasks
Browse topics
- Monetary policy
- Financial market supervision
- Financial stability
- Banknotes and coins
- Payments
- Statistics
- Research
- Legislation
-
Publications
- Activity Report of the NBS Innovation Hub Annual Report Economic and Monetary Developments Financial Stability Report Investment Policy Statement of the National Bank of Slovakia Macroprudential Commentary Policy Briefs
- Report on the Activities of the Financial Market Supervision Unit Research Papers: Working and Occasional Papers (WP/OP) Statistical Bulletin Structural Challenges Other publications Sign up for your email notifications about publications
- About the Bank
- Media
- Frequently asked questions
-
For the public
Browse topics
- About the Bank
- Exchange rates and interest rates
- Banknotes and coins
- Payments
- Financial stability
- Financial market supervision
- Statistics
- Legislation
-
Publications
- Activity Report of the NBS Innovation Hub Annual Report Economic and Monetary Developments Financial Stability Report Macroprudential Commentary
- Report on the Activities of the Financial Market Supervision Unit Research Papers: Working and Occasional Papers (WP/OP) Statistical Bulletin Other publications Sign up for your email notifications about publications
- Frequently asked questions
- Media
- Careers
- Contact
sk
sk
To search for
press Enter
Data for the period
Slovak Republic – Balance of Payments – January to December 1997
Receipts/Credit (+) | Expenditures/Debit (-) | Balance | ||||
---|---|---|---|---|---|---|
mil. SKK | mil. USD | mil. SKK | mil. USD | mil. SKK | mil. USD | |
GOODS 1) | 277,434.00 | 8,253.03 | 346,612.00 | 10,310.92 | -69,178.00 | -2,057.89 |
GOODS 2) | 324,017.00 | 9,638.77 | 393,973.00 | 11,719.81 | -69,956.00 | -2,081.03 |
SERVICES | 77,207.00 | 2,296.73 | 70,459.00 | 2,096.00 | 6,748.00 | 200.74 |
Transportation | 29,096.00 | 865.54 | 11,480.00 | 341.50 | 17,616.00 | 524.04 |
Travel | 18,340.00 | 545.57 | 14,754.00 | 438.90 | 3,586.00 | 106.68 |
Other services total | 29,771.00 | 885.62 | 44,225.00 | 1,315.59 | -14,454.00 | -429.97 |
INCOME | 10,606.00 | 315.50 | 14,691.00 | 437.02 | -4,085.00 | -121.52 |
Compensation of employees | 734.00 | 21.83 | 307.00 | 9.13 | 427.00 | 12.70 |
Investment income | 9,872.00 | 293.67 | 14,384.00 | 427.89 | -4,512.00 | -134.22 |
Current transfers | 18,256.00 | 543.07 | 12,381.00 | 368.31 | 5,875.00 | 174.77 |
CURRENT ACCOUNT 1) | 383,503.00 | 11,408.35 | 444,143.00 | 13,212.25 | -60,640.00 | -1,803.90 |
CURRENT ACCOUNT 2) | 430,086.00 | 12,794.09 | 491,504.00 | 14,621.13 | -61,418.00 | -1,827.05 |
CAPITAL ACCOUNT | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
FINANCIAL ACCOUNT | 861,218.10 | 25,745.51 | -800,195.80 | -23,872.39 | 61,022.30 | 1,873.12 |
DIRECT INVESTMENT | 145,629.00 | 4,332.81 | -141,074.00 | -4,196.63 | 4,555.00 | 136.18 |
ABROAD | 4,012.00 | 119.35 | -7,209.00 | -214.45 | -3,197.00 | -95.10 |
Equity capital and reinvested earnings | 1,895.00 | 56.37 | -5,065.00 | -150.67 | -3,170.00 | -94.30 |
Other capital | 2,117.00 | 62.98 | -2,144.00 | -63.78 | -27.00 | -0.80 |
In SR | 141,617.00 | 4,213.46 | -133,865.00 | -3,982.18 | 7,752.00 | 231.28 |
Equity capital and reinvested earnings | 8,035.00 | 239.70 | -815.00 | -24.24 | 7,220.00 | 215.46 |
Other capital | 133,582.00 | 3,973.76 | -133,050.00 | -3,957.94 | 532.00 | 15.83 |
PORTFOLIO INVESTMENT | 13,176.50 | 391.97 | -12,321.30 | -366.53 | 855.20 | 25.44 |
Assets | 7,294.50 | 216.99 | -9,958.30 | -296.24 | -2,663.80 | -79.24 |
Liabilities | 5,882.00 | 174.98 | -2,363.00 | -70.29 | 3,519.00 | 104.68 |
OTHER INVESTMENT | 702,412.60 | 21,020.73 | -646,800.50 | -19,309.22 | 55,612.10 | 1,711.50 |
Long-term | 64,394.50 | 1,915.64 | -26,454.40 | -852.84 | 37,940.10 | 1,062.80 |
Assets | 3,469.70 | 123.12 | -503.20 | -14.44 | 2,966.50 | 108.68 |
Liabilities | 60,924.80 | 1,792.53 | -25,951.20 | -838.40 | 34,973.60 | 954.12 |
Short-term | 638,018.10 | 19,105.08 | -620,346.10 | -18,456.38 | 17,672.00 | 648.70 |
Assets | 245,392.00 | 7,299.77 | -282,599.10 | -8,409.17 | -37,207.10 | -1,109.41 |
Liabilities | 392,626.10 | 11,805.32 | -337,747.00 | -10,047.21 | 54,879.10 | 1,758.11 |
CAPITAL AND FINANCIAL ACCOUNT | 861,218.10 | 25,745.51 | -800,195.80 | -23,872.39 | 61,022.30 | 1,873.12 |
ERRORS AND OMISSIONS | 1,393.90 | -23.12 | ||||
OVERALL BALANCE | -20,582.40 | -643.50 | 22,358.60 | 689.60 | 1,776.20 | 46.10 |
MONETARY GOLD | 4,005.40 | 115.40 | 0.00 | 0.00 | 4,005.40 | 115.40 |
SPECIAL DRAWING RIGHTS | 0.00 | 0.00 | -390.80 | -10.70 | -390.80 | -10.70 |
FOREIGN EXCHANGE | 16,577.00 | 528.10 | -21,967.80 | -678.90 | -5,390.80 | -150.80 |
CURRENCY AND DEPOSIT | 8,233.50 | 259.40 | 0.00 | 0.00 | 8,233.50 | 259.40 |
SECURITIES | 8,343.50 | 268.70 | -21,967.80 | -678.90 | -13,624.30 | -410.20 |
Bonds and notes | 0.00 | 0.00 | -21,967.80 | -678.90 | -21,967.80 | -678.90 |
Money market instr. and financial derivates | 8,343.50 | 268.70 | 0.00 | 0.00 | 8,343.50 | 268.70 |
RESERVE ASSETS | 20,582.40 | 643.50 | -22,358.60 | -689.60 | -1,776.20 | -46.10 |
Used exchange rate of USD 33.616 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