设为首页 加入收藏
基金档案主页
基金数据
基金资讯
实用功能
主力数据
基金吧
查询基金资产负债
嘉实增长基金详情
嘉实增长基金(070002)资产负债表
序号 数据日期2007-12-312007-6-302006-12-312006-6-30
1 股票投资-估值增值未公布未公布未公布未公布
2 债券投资-估值增值未公布未公布未公布未公布
3 其他投资-估值增值未公布未公布未公布未公布
4 应收清算交易款167,550,628.7670,554,151.10175,612,784.006,068,368.36
5 应收股利未公布未公布未公布未公布
6 应收利息8,832,811.1312,257,536.665,392,279.326,552,347.75
7 应收帐款未公布未公布未公布未公布
8 其他应收款未公布85,663.20未公布3,261,346.40
9 其他资产未公布未公布未公布未公布
10 基金资产总额2,896,260,719.303,627,750,553.682,749,891,024.332,092,665,801.53
11 应付基金管理费3,384,128.424,134,591.322,956,091.912,591,287.04
12 应付基金托管费564,021.40689,098.57492,682.00431,881.18
13 应付收益未公布未公布未公布未公布
14 应付帐款未公布未公布未公布未公布
15 应付佣金未公布2,335,939.541,526,993.701,655,606.90
16 应付清算交易款8,911,342.41未公布未公布未公布
17 其他应付款项未公布384,724.20384,724.20355,109.10
18 预提费用未公布66,448.72165,600.00140,336.54
19 负债总额16,732,388.99341,336,025.60314,669,374.879,838,438.15
20 实收基金610,643,329.30878,833,874.011,070,671,701.031,206,958,933.94
21 未分配收益2,268,885,001.011,565,498,440.05681,877,882.43316,391,803.71
22 未实现资本利得未公布842,082,214.02682,672,066.00559,476,625.73
23 持有人权益合计2,879,528,330.313,286,414,528.082,435,221,649.462,082,827,363.38
24 负债及持有人权益合计2,896,260,719.303,627,750,553.682,749,891,024.332,092,665,801.53
25 基金资产净值2,896,260,719.303,627,750,553.682,749,891,024.332,092,665,801.53
26 买入返售债券未公布未公布未公布未公布
27 卖出回购债券款未公布330,860,000.00300,000,000.00未公布
28 交易保证金未公布902,701.35661,941.77966,872.98
29 清算备付金3,115,553.948,420,186.086,029,821.993,710,822.21


将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

免责声明    关于我们    征稿启事    广告服务    联系我们    友情链接    服务条款    法律声明    意见与建议

 网络实名:东方财富网    通用网址:东方财富网    建议及投诉热线:021-51703036
 
[沪ICP证:沪B2-20070217] 版权所有: 东方财富网