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Primanja i izdaci budžeta Republike Srbije u periodu januar - oktobar 2008. godine1
u mil. dinara
| Primanja i izdaci budžeta |
Januar
|
Februar
|
Mart
|
April
|
Maj
|
Jun
|
Jul
|
Avgust
|
Septembar
|
Oktobar
|
Ukupno
|
| I PRIMANJA BUDŽETA |
54,265.8
|
47,488.9
|
56,926.3
|
56,938.0
|
49,128.6
|
54,568.5
|
60,815.4
|
43,599.2
|
54,140.3
|
57,860.1
|
535,731.1
|
| 1.Poreski prihodi |
46,865.1
|
42,891.7
|
50,628.2
|
51,061.4
|
44,957.5
|
49,794.3
|
56,205.2
|
39,211.8
|
48,487.9
|
52,097.1
|
482,200.2
|
| Porez na dohodak građana |
4,922.3
|
5,432.3
|
5,534.1
|
6,340.8
|
6,166.5
|
6,435.8
|
6,563.2
|
5,876.3
|
5,947.2
|
6,367.8
|
59,586.3
|
| Porez na dobit preduzeća |
2,079.1
|
2,379.9
|
8,997.2
|
2,350.5
|
2,233.5
|
2,593.7
|
2,336.3
|
2,050.2
|
2,303.8
|
2,649.4
|
29,973.6
|
| Porez na dodatu vrednost |
28,151.2
|
22,438.0
|
22,582.1
|
27,811.0
|
24,211.1
|
24,952.7
|
31,157.6
|
19,030.1
|
23,657.0
|
27,820.6
|
251,811.3
|
| Akcize |
7,842.3
|
6,943.0
|
7,027.0
|
7,976.5
|
6,411.0
|
9,767.8
|
9,288.6
|
7,025.1
|
10,814.4
|
8,956.3
|
82,052.0
|
| Carine |
3,477.2
|
5,283.1
|
6,025.2
|
6,092.4
|
5,403.7
|
5,452.8
|
6,210.9
|
4,756.3
|
5,326.9
|
5,833.2
|
53,861.7
|
| Ostali poreski prihodi |
393.0
|
415.4
|
462.6
|
490.2
|
531.7
|
591.5
|
648.6
|
473.8
|
438.6
|
469.8
|
4,915.3
|
| 2.Neporeski prihodi |
7,400.7
|
4,597.2
|
6,298.1
|
5,876.6
|
4,171.1
|
4,774.2
|
4,610.2
|
4,387.4
|
5,652.4
|
5,763.0
|
53,530.9
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| II IZDACI BUDŽETA |
50,810.4
|
50,692.9
|
57,906.3
|
64,289.2
|
58,082.9
|
56,830.2
|
52,306.3
|
50,185.1
|
54,904.0
|
57,290.1
|
553,297.3
|
| 1.Tekući rashodi |
48,261.3
|
45,621.0
|
51,891.6
|
56,155.8
|
52,950.4
|
50,214.3
|
48,955.6
|
47,234.2
|
50,120.9
|
51,817.7
|
503,222.8
|
| Rashodi za zaposlene |
15,508.4
|
14,017.2
|
13,859.5
|
16,143.6
|
15,188.0
|
14,671.5
|
14,694.7
|
14,488.4
|
14,441.4
|
15,471.2
|
148,483.9
|
| Rashodi za kupovinu roba i usluga |
1,918.9
|
3,568.1
|
4,174.9
|
3,847.9
|
4,214.4
|
4,683.3
|
4,243.6
|
4,183.4
|
4,069.5
|
3,880.5
|
38,784.5
|
| Rashodi po osnovu otplate kamata |
37.0
|
236.1
|
4,775.8
|
1,697.4
|
252.1
|
336.0
|
626.3
|
514.4
|
3,309.0
|
1,966.6
|
13,750.7
|
| Subvencije |
1,960.1
|
3,102.8
|
2,849.4
|
4,949.2
|
6,205.7
|
3,095.4
|
2,687.2
|
3,039.3
|
2,476.4
|
3,870.7
|
34,236.1
|
| Dotacije međunarodnim organizacijama |
0.0
|
42.5
|
20.0
|
14.8
|
41.6
|
26.8
|
4.4
|
10.1
|
13.9
|
21.4
|
195.5
|
| Transferi ostalim nivoima vlasti |
5,403.2
|
5,626.7
|
5,043.8
|
6,527.0
|
5,687.6
|
5,801.8
|
5,683.9
|
5,553.8
|
5,473.2
|
5,560.1
|
56,361.0
|
| Transferi organizacijama obaveznog socijalnog osiguranja |
10,755.9
|
12,676.2
|
15,025.2
|
15,506.9
|
13,870.4
|
14,042.9
|
14,377.7
|
13,909.1
|
14,067.2
|
14,732.6
|
138,964.2
|
| Socijalna zaštita iz budžeta |
12,328.7
|
5,560.3
|
5,388.6
|
6,817.0
|
6,340.6
|
6,328.6
|
6,026.5
|
4,728.0
|
5,694.0
|
5,709.8
|
64,922.2
|
| Ostali tekući rashodi |
349.2
|
791.1
|
754.4
|
652.1
|
1,150.0
|
1,227.9
|
611.3
|
807.7
|
576.3
|
604.8
|
7,524.7
|
| 2. Kapitalni izdaci |
268.6
|
2,190.5
|
4,342.0
|
7,895.5
|
4,181.7
|
2,881.3
|
2,779.0
|
2,231.2
|
4,019.0
|
4,799.7
|
35,588.5
|
| Kapitalni izdaci |
266.4
|
1,652.4
|
979.6
|
1,944.2
|
1,267.7
|
1,734.9
|
1,443.9
|
1,905.9
|
2,977.4
|
3,137.8
|
17,310.3
|
| Nacionalni investicioni plan |
2.2
|
538.1
|
3,362.4
|
5,951.3
|
2,914.0
|
1,146.3
|
1,335.1
|
325.3
|
1,041.6
|
1,661.9
|
18,278.2
|
| 3. Neto budžetske pozajmice |
2,280.4
|
2,881.4
|
1,672.7
|
237.8
|
950.8
|
3,734.6
|
571.7
|
719.7
|
764.1
|
672.7
|
14,486.0
|
| III BUDŽETSKI SUFICIT/DEFICIT (I - II) |
3,455.5
|
-3,204.0
|
-980.0
|
-7,351.2
|
-8,954.3
|
-2,261.7
|
8,509.1
|
-6,585.9
|
-763.7
|
570.0
|
-17,566.2
|
| IV BUDŽETSKI SUFICIT/DEFICIT2 |
12,698.7
|
922.9
|
301.8
|
-7,089.9
|
-8,142.3
|
2,620.4
|
8,819.2
|
-6,200.5
|
-130.4
|
746.1
|
4,546.0
|
| Finansiranje |
|
|
|
|
|
|
|
|
|
|
|
| V DRUGA PRIMANJA |
5,758.9
|
-1,119.3
|
2,408.5
|
-365.7
|
953.7
|
1,345.6
|
1,337.4
|
909.9
|
1,348.9
|
1,022.5
|
13,600.3
|
| Primanja od domaćeg zaduživanja |
150.6
|
1,047.9
|
0.0
|
0.0
|
0.0
|
0.0
|
0.0
|
0.0
|
0.0
|
0.0
|
1,198.5
|
| Primanja od inostranog zaduživanja |
0.0
|
74.9
|
107.4
|
92.1
|
57.3
|
109.8
|
17.7
|
117.0
|
28.9
|
9.8
|
614.9
|
| Privatizacija |
5,588.3
|
-2,271.4
|
2,207.7
|
-621.6
|
848.0
|
1,111.9
|
1,262.9
|
760.6
|
1,271.1
|
997.8
|
11,155.3
|
| Donacije |
19.9
|
29.3
|
93.4
|
163.9
|
48.4
|
123.8
|
56.7
|
32.3
|
48.9
|
14.9
|
631.6
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| VI DRUGI IZDACI |
978.8
|
5,159.6
|
2,803.2
|
585.1
|
10,348.3
|
7,007.3
|
1,902.4
|
1,847.3
|
4,819.4
|
765.2
|
36,216.7
|
| Otplata duga domaćim kreditorima |
978.8
|
1,749.5
|
1,549.5
|
335.7
|
9,971.4
|
5,562.4
|
1,849.5
|
1,815.2
|
2,060.5
|
566.1
|
26,438.7
|
| Otplata duga stranim kreditorima |
0.0
|
160.1
|
1,135.4
|
0.0
|
89.9
|
146.6
|
0.0
|
32.1
|
2,758.9
|
-0.1
|
4,323.0
|
| Otplata duga po osnovu aktiviranih garancija |
0.0
|
0.0
|
0.0
|
210.7
|
286.9
|
1,272.8
|
52.9
|
0.0
|
0.0
|
199.2
|
2,022.5
|
| Nabavka finansijske imovine |
0.0
|
3,250.0
|
118.3
|
38.8
|
0.0
|
25.4
|
0.0
|
0.0
|
0.0
|
0.0
|
3,432.5
|
1 Nova metodologija Ministarstva finansija, usaglašena sa metodologijom koju koristi MMF (Statistika državnih finansija - GFS). Detaljnije objašnjenje nove metodologije dato je u Memorandumu o budžetu i ekonomskoj i fiskalnoj politici za 2009. godinu sa projekcijama za naredne dve godine.
2 Budžetski suficit / deficit iskazan je, radi uporedivosti, prema staroj metodologiji Ministarstva finansija a koja se primenjuje u Zakonu o budžetu za određenu godinu.
