首页 - 基金 - 汇添富稳健收益混合C(009737) - 资产负债表
汇添富稳健收益混合C(009737)资产负债表
  2025-06-30 2024-12-31 2024-06-30 2023-12-31
资产
银行存款 - - - -
结算备付金 6,241,774.95 26,696,060.69 20,332,882.02 8,078,299.11
存出保证金 362,496.82 491,290.30 669,645.25 636,623.15
交易性金融资产 1,260,649,299.96 1,452,688,994.05 1,488,461,941.28 1,882,032,979.10
其中:股票投资 185,673,721.13 152,152,739.30 154,338,705.33 295,778,299.24
债券投资 1,074,975,578.83 1,300,536,254.75 1,334,123,235.95 1,586,254,679.86
资产支持证券投资 - - - -
衍生金融资产 - - - -
买入返售金融资产 27,800,000.00 36,655,866.41 11,700,000.00 60,193,076.04
应收证券清算款 11,266,851.72 20,004,361.64 6,279,503.94 3,515,299.73
应收利息 - - - -
应收股利 445,881.16 - 695,028.86 -
应收申购款 452,535.75 4,855.27 2,679.95 7,140.55
其他资产 - - - -
资产总计 1,312,854,305.20 1,548,543,714.82 1,532,643,533.06 1,960,741,856.67
负 债
短期借款 - - - -
交易性金融负债 - - - -
衍生金融负债 - - - -
卖出回购金融资产款 171,052,220.33 253,086,037.10 50,000,000.00 491,092,600.58
应付证券清算款 - 24,421,426.08 909,919.15 2,332,059.82
应付赎回款 2,679,960.38 2,559,315.71 948,985.84 412,595.60
应付管理人报酬 942,060.37 1,086,081.76 1,233,112.59 1,249,334.33
应付托管费 188,412.09 217,216.36 246,622.51 249,866.88
应付销售服务费 153,334.02 179,112.53 202,637.05 212,334.28
应付交易费用 - - - -
应交税费 50,204.19 53,901.90 37,536.01 39,926.58
应付利息 - - - -
应付利润 - - - -
其他负债 688,907.20 799,542.48 949,793.22 508,460.29
负债合计 175,755,098.58 282,402,633.92 54,528,606.37 496,097,178.36
所有者权益
实收基金 1,193,063,765.11 1,328,692,457.78 1,568,376,154.08 1,644,519,552.00
未分配利润 -55,964,558.49 -62,551,376.88 -90,261,227.39 -179,874,873.69
所有者权益合计 1,137,099,206.62 1,266,141,080.90 1,478,114,926.69 1,464,644,678.31
负债及所有者权益总计 1,312,854,305.20 1,548,543,714.82 1,532,643,533.06 1,960,741,856.67
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