创金合信鑫祺混合C(009006)资产负债表
| |
2025-12-31 |
2025-06-30 |
2024-12-31 |
2024-06-30 |
| 资产 |
| 银行存款 |
- |
- |
- |
- |
| 结算备付金 |
4,188,723.67 |
3,355,146.19 |
493,130.35 |
11,170,601.52 |
| 存出保证金 |
250,779.78 |
173,162.72 |
155,763.27 |
434,442.69 |
| 交易性金融资产 |
465,572,475.81 |
617,023,446.32 |
607,160,087.79 |
1,060,979,993.95 |
| 其中:股票投资 |
131,390,679.75 |
173,373,792.43 |
155,588,735.31 |
330,559,884.74 |
| 债券投资 |
334,181,796.06 |
443,649,653.89 |
451,571,352.48 |
730,420,109.21 |
| 资产支持证券投资 |
- |
- |
- |
- |
| 衍生金融资产 |
- |
- |
- |
- |
| 买入返售金融资产 |
- |
- |
- |
- |
| 应收证券清算款 |
- |
3,772,379.06 |
13,256,247.95 |
3,262,652.29 |
| 应收利息 |
- |
- |
- |
- |
| 应收股利 |
- |
- |
- |
- |
| 应收申购款 |
502,407.26 |
10,277,905.28 |
20,586,794.83 |
1,222,644.77 |
| 其他资产 |
- |
- |
- |
- |
| 资产总计 |
478,605,145.72 |
638,228,714.28 |
644,703,535.30 |
1,080,231,581.58 |
| 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 |
- |
60,002,397.26 |
45,004,497.08 |
126,313,319.16 |
| 应付证券清算款 |
4,105,756.81 |
847,851.10 |
2,676,763.64 |
- |
| 应付赎回款 |
224,218.48 |
692,057.76 |
1,284,240.16 |
4,593,777.53 |
| 应付管理人报酬 |
310,410.50 |
364,135.36 |
393,588.90 |
650,678.47 |
| 应付托管费 |
38,801.32 |
45,516.90 |
49,198.58 |
81,334.82 |
| 应付销售服务费 |
64,478.94 |
103,989.62 |
103,676.38 |
143,937.85 |
| 应付交易费用 |
- |
- |
- |
- |
| 应交税费 |
1,309.87 |
3,172.68 |
5,948.90 |
6,824.50 |
| 应付利息 |
- |
- |
- |
- |
| 应付利润 |
- |
- |
- |
- |
| 其他负债 |
396,428.94 |
253,685.12 |
314,527.83 |
423,135.57 |
| 负债合计 |
5,141,404.86 |
62,312,805.80 |
49,832,441.47 |
132,213,007.90 |
| 所有者权益 |
| 实收基金 |
359,912,020.27 |
460,848,715.94 |
477,645,194.29 |
842,177,873.36 |
| 未分配利润 |
113,551,720.59 |
115,067,192.54 |
117,225,899.54 |
105,840,700.32 |
| 所有者权益合计 |
473,463,740.86 |
575,915,908.48 |
594,871,093.83 |
948,018,573.68 |
| 负债及所有者权益总计 |
478,605,145.72 |
638,228,714.28 |
644,703,535.30 |
1,080,231,581.58 |
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