首页 - 基金 - 华夏收益宝货币B(001930) - 资产负债表
华夏收益宝货币B(001930)资产负债表
  2024-12-31 2024-06-30 2023-12-31 2023-06-30
资产
银行存款 - - - 24,038,276,730.85
结算备付金 215,194,038.79 196,278,580.59 381,132,865.52 218,386,172.20
存出保证金 13,873.73 - 223.40 24,823.06
交易性金融资产 50,807,397,891.87 41,726,584,420.84 32,081,593,363.16 30,823,893,334.16
其中:股票投资 - - - -
债券投资 50,807,397,891.87 41,726,584,420.84 32,081,593,363.16 30,823,893,334.16
资产支持证券投资 - - - -
衍生金融资产 - - - -
买入返售金融资产 15,428,349,711.84 27,498,219,125.85 5,683,561,506.23 24,163,693,938.91
应收证券清算款 689,234,567.41 81,197,120.77 - 623,101,235.47
应收利息 - - - -
应收股利 - - - -
应收申购款 2,056,925,981.21 76,480,627.06 21,442,276.88 12,481,824.48
其他资产 - - - -
资产总计 86,732,376,343.09 105,276,817,283.19 77,579,145,710.24 79,879,858,059.13
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 4,823,935,059.69 6,261,228,792.70 9,246,115,891.68 9,439,636,869.78
应付证券清算款 4,999,796,958.95 81,191,000.00 1,818,301,370.35 422,122,231.48
应付赎回款 - - - -
应付管理人报酬 9,412,140.27 13,477,261.01 9,197,810.85 9,835,321.82
应付托管费 3,137,380.10 4,492,420.36 3,065,936.93 3,278,440.65
应付销售服务费 61,973.32 57,428.02 47,980.89 48,134.47
应付交易费用 - - - -
应交税费 116,241.51 26,032.83 64,251.93 143,654.93
应付利息 - - - -
应付利润 4,344,209.31 15,774,566.40 14,539,389.42 4,882,382.38
其他负债 1,759,065.44 781,903.73 819,493.46 692,900.80
负债合计 9,842,563,028.59 6,377,029,405.05 11,092,152,125.51 9,880,639,936.31
所有者权益
实收基金 76,889,813,314.50 98,899,787,878.14 66,486,993,584.73 69,999,218,122.82
未分配利润 - - - -
所有者权益合计 76,889,813,314.50 98,899,787,878.14 66,486,993,584.73 69,999,218,122.82
负债及所有者权益总计 86,732,376,343.09 105,276,817,283.19 77,579,145,710.24 79,879,858,059.13
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