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工银现金货币A(000677)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 2,631,834.75 135,564,176.70 55,400,120.49 370,857,845.45
存出保证金 43,713.91 186,113.29 208,515.56 101,320.65
交易性金融资产 66,594,993,677.03 55,048,467,701.07 77,003,805,115.87 46,400,599,188.94
其中:股票投资 - - - -
债券投资 66,512,253,059.37 55,033,168,085.73 76,819,820,573.86 46,007,862,260.32
资产支持证券投资 82,740,617.66 15,299,615.34 183,984,542.01 392,736,928.62
衍生金融资产 - - - -
买入返售金融资产 15,751,022,941.48 42,147,626,710.49 12,667,363,450.30 32,526,262,923.67
应收证券清算款 - 298,135,107.08 149,832,550.55 -
应收利息 - - - -
应收股利 - - - -
应收申购款 36,207,919.88 77,666,619.92 11,722,708.14 49,175,868.45
其他资产 1,525.00 - - -
资产总计 128,646,920,349.10 131,417,616,488.09 120,978,338,897.93 118,774,180,070.97
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 9,841,944,037.78 10,812,677,871.48 9,231,408,581.90 10,207,895,784.21
应付证券清算款 1,948,535,000.00 - 357,698.64 316,882,318.59
应付赎回款 - - - -
应付管理人报酬 28,896,144.14 29,990,517.05 27,810,773.44 27,263,696.99
应付托管费 4,816,024.02 4,998,419.50 4,635,128.91 4,543,949.52
应付销售服务费 24,080,120.11 24,992,097.53 23,175,644.57 22,719,747.49
应付交易费用 - - - -
应交税费 14,333.18 37,387.32 281,282.99 126,223.48
应付利息 - - - -
应付利润 3,687,146.51 5,458,698.68 4,149,898.30 7,525,667.24
其他负债 1,658,812.07 1,723,530.91 1,307,693.89 1,415,939.44
负债合计 11,853,631,617.81 10,879,878,522.47 9,293,126,702.64 10,588,373,326.96
所有者权益
实收基金 116,793,288,731.29 120,537,737,965.62 111,685,212,195.29 108,185,806,744.01
未分配利润 - - - -
所有者权益合计 116,793,288,731.29 120,537,737,965.62 111,685,212,195.29 108,185,806,744.01
负债及所有者权益总计 128,646,920,349.10 131,417,616,488.09 120,978,338,897.93 118,774,180,070.97
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