首页 - 基金 - 创金合信产业智选混合A(012613) - 资产负债表
创金合信产业智选混合A(012613)资产负债表
  2024-12-31 2024-06-30 2023-12-31 2023-06-30
资产
银行存款 - - - 190,495,378.67
结算备付金 4,100,982.50 2,901,311.86 3,770,169.53 2,852,300.20
存出保证金 469,932.25 431,587.83 516,564.28 449,579.70
交易性金融资产 1,269,455,092.06 1,457,112,596.99 1,776,571,354.64 2,258,699,232.89
其中:股票投资 1,209,041,996.17 1,386,935,851.78 1,686,055,010.38 2,168,446,372.23
债券投资 60,413,095.89 70,176,745.21 90,516,344.26 90,252,860.66
资产支持证券投资 - - - -
衍生金融资产 - 327,469.58 - -
买入返售金融资产 - - - -
应收证券清算款 27,108,197.21 30,429,156.61 6,321,774.01 8,900,833.40
应收利息 - - - -
应收股利 - 241,573.93 - 1,595,053.60
应收申购款 26,322.59 51,555.57 141,026.62 49,312.35
其他资产 - - - -
资产总计 1,323,707,313.14 1,527,107,339.58 1,847,426,235.96 2,463,041,690.81
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 - - - -
应付证券清算款 9,819,315.57 4,667,972.56 6,133,411.33 25,875,396.13
应付赎回款 958,591.23 449,935.53 820,839.10 471,632.90
应付管理人报酬 1,409,029.11 1,551,529.65 1,832,453.08 3,002,434.10
应付托管费 234,838.16 258,588.27 305,408.85 500,405.68
应付销售服务费 85,359.49 96,360.27 114,950.02 154,242.54
应付交易费用 - - - -
应交税费 - - - -
应付利息 - - - -
应付利润 - - - -
其他负债 2,134,317.02 1,414,011.75 2,240,687.08 2,029,101.75
负债合计 14,641,450.58 8,438,398.03 11,447,749.46 32,033,213.10
所有者权益
实收基金 2,949,185,936.18 3,211,607,091.19 3,410,947,744.97 3,646,663,568.08
未分配利润 -1,640,120,073.62 -1,692,938,149.64 -1,574,969,258.47 -1,215,655,090.37
所有者权益合计 1,309,065,862.56 1,518,668,941.55 1,835,978,486.50 2,431,008,477.71
负债及所有者权益总计 1,323,707,313.14 1,527,107,339.58 1,847,426,235.96 2,463,041,690.81
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