建信鑫安回报灵活配置混合C(018541)利润分配表
|
2024-12-31 |
2024-06-30 |
2023-12-31 |
2023-06-30 |
收入 |
42,359,768.66 |
-14,557,031.66 |
-17,399,419.68 |
2,583,491.97 |
利息合计 |
198,173.85 |
165,351.39 |
309,486.58 |
113,219.57 |
其中:存款利息收入 |
64,754.98 |
37,048.44 |
43,117.12 |
21,983.27 |
债券利息收入 |
- |
- |
- |
- |
资产支持证券利息收入 |
- |
- |
- |
- |
买入返售金融资产收入 |
133,418.87 |
128,302.95 |
266,369.46 |
91,236.30 |
投资收益合计 |
14,142,780.07 |
4,036,589.28 |
3,266,279.96 |
6,031,475.36 |
其中:股票投资收益 |
8,529,057.08 |
1,137,232.55 |
-726,858.38 |
3,695,283.63 |
基金投资收益 |
- |
- |
- |
- |
债券投资收益 |
678,947.10 |
561,530.59 |
2,903,413.80 |
1,736,253.71 |
资产支持证券投资收益 |
- |
- |
- |
- |
衍生工具收益 |
- |
- |
- |
- |
股利收益 |
4,934,775.89 |
2,337,826.14 |
1,089,724.54 |
599,938.02 |
基金分红收益收益 |
- |
- |
- |
- |
公允价值变动收益 |
27,831,491.25 |
-18,938,944.33 |
-21,370,908.87 |
-3,956,489.23 |
其他收入 |
187,323.49 |
179,972.00 |
395,722.65 |
395,286.27 |
费用 |
2,875,821.36 |
1,451,421.44 |
2,104,207.79 |
942,367.71 |
管理人报酬 |
1,940,195.32 |
964,590.30 |
1,102,750.93 |
446,172.28 |
基金托管费 |
485,048.84 |
241,147.58 |
275,687.78 |
111,543.04 |
销售服务费 |
204,909.84 |
109,230.57 |
117,683.82 |
221.85 |
交易费用 |
- |
- |
- |
- |
利息支出 |
42,283.76 |
34,909.03 |
398,505.86 |
296,549.09 |
其中:卖出回购金融资产支出 |
42,283.76 |
34,909.03 |
398,505.86 |
296,549.09 |
其他费用 |
202,102.71 |
100,754.04 |
202,707.17 |
84,321.80 |
利润总额 |
39,483,947.30 |
-16,008,453.10 |
-19,503,627.47 |
1,641,124.26 |