首页 - 基金 - 华夏现金增利货币A/E(003003) - 资产负债表
华夏现金增利货币A/E(003003)资产负债表
  2026-06-30 2025-12-31 2025-06-30 2024-12-31
资产
银行存款 - - - -
结算备付金 338,705,315.39 194,954,122.09 231,544,267.00 174,094,162.53
存出保证金 - - - -
交易性金融资产 37,980,011,139.05 44,220,064,098.44 44,413,437,689.80 27,032,962,231.39
其中:股票投资 - - - -
债券投资 37,980,011,139.05 44,220,064,098.44 44,413,437,689.80 27,032,962,231.39
资产支持证券投资 - - - -
衍生金融资产 - - - -
买入返售金融资产 22,573,135,992.55 7,918,883,976.86 10,950,281,694.80 12,755,807,594.67
应收证券清算款 792,482,702.19 147,260.29 499,662,906.59 -
应收利息 - - - -
应收股利 - - - -
应收申购款 23,309,285.98 51,614,944.70 30,257,810.95 62,920,724.35
其他资产 - - - -
资产总计 71,945,709,522.15 69,834,598,212.14 81,613,214,983.45 55,712,066,315.70
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 6,438,899,345.73 6,185,202,500.33 7,014,114,040.98 4,320,241,132.79
应付证券清算款 - - 3,400,000,000.00 2,400,000,000.00
应付赎回款 - - - -
应付管理人报酬 18,196,170.97 17,796,319.03 19,630,595.76 13,632,533.57
应付托管费 2,756,995.64 2,696,412.00 2,974,332.69 4,131,070.83
应付销售服务费 12,941,402.77 12,620,498.85 14,027,971.16 9,398,010.93
应付交易费用 - - - -
应交税费 384,532.45 304,499.36 301,852.46 301,852.46
应付利息 - - - -
应付利润 1,397,078.91 1,805,215.21 2,245,795.03 1,798,807.72
其他负债 850,074.05 840,754.42 668,865.69 723,446.88
负债合计 6,475,425,600.52 6,221,266,199.20 10,453,963,453.77 6,750,226,855.18
所有者权益
实收基金 65,470,283,921.63 63,613,332,012.94 71,159,251,529.68 48,961,839,460.52
未分配利润 - - - -
所有者权益合计 65,470,283,921.63 63,613,332,012.94 71,159,251,529.68 48,961,839,460.52
负债及所有者权益总计 71,945,709,522.15 69,834,598,212.14 81,613,214,983.45 55,712,066,315.70
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