Chapter

Appendix VII. Comparative Statement of Income and Expenditure

Author(s):
International Monetary Fund
Published Date:
September 1972
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(Values expressed in special drawing rights)

Fiscal Year Ended
Apr. 30, 1970Apr. 30, 1971Apr. 30, 1972
Operational Income1
Operational charges
Received in gold9,221,5762,241,375534,053
Received in special drawing rights822,427568,5922,235,779
Received in members’ currencies2,927,046360,980257,554
Total12,971,0493,170,9473,027,386
Charges on balances in excess of quotas
Received in gold64,097,73982,419,16522,313,668
Received in special drawing rights55,739,24740,940,74735,744,967
Received in members’ currencies4,891,4064,779,7613,966,855
Total124,728,392128,139,67362,025,490
Interest on holdings of special drawing rights413,8834,255,6987,181,322
Total Operational Income138,113,324135,566,31872,234,198
Deduct: Operational expenditure
Remuneration
Paid in gold8,766,33422,681,21928,532,536
Paid in special drawing rights18,402,99814,745,6721,981,750
Paid in members’ currencies11,98215,9125,040
Total27,181,314237,442,80330,519,326
Transfer charges and interest on indebtedness
Paid in gold19,139,98411,801,9251,193,849
Paid in U.S. dollars20,9327,39519,593
Total19,160,91611,809,3201,213,442
Other-31,32812,88726,669
Total Operational Expenditure46,310,90249,265,01031,759,437
Net Operational Income91,802,42286,301,30840,474,761
Budgetary Expenditure27,731,329332,331,800336,032,1413
Fixed Property Expenditure6,518,6157,547,37017,710,950
Total Budgetary and Fixed Property Expenditure34,249,94439,879,17053,743,091
Net Income or Expenditure (—)57,552,47846,422,138-13,268,330

Excludes income from investments transferred to Special Reserve for fiscal year 1970 SDR 56,741,734; fiscal year 1971 SDR 40,145,807; and fiscal year 1972 SDR 17,537,157.

For the period July 28, 1969 through April 30, 1970.

After deduction of SDR 887,656 for fiscal year 1970, SDR 890,853 for fiscal year 1971, and SDR 1,024,629 for fiscal year 1972 reimbursed to the General Account by assessments levied on the net cumulative allocations of participants in the Special Drawing Account.

Excludes income from investments transferred to Special Reserve for fiscal year 1970 SDR 56,741,734; fiscal year 1971 SDR 40,145,807; and fiscal year 1972 SDR 17,537,157.

For the period July 28, 1969 through April 30, 1970.

After deduction of SDR 887,656 for fiscal year 1970, SDR 890,853 for fiscal year 1971, and SDR 1,024,629 for fiscal year 1972 reimbursed to the General Account by assessments levied on the net cumulative allocations of participants in the Special Drawing Account.

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