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华商创新成长灵活配置(000541) 单位净值(2024-03-04):1.8150(1.34%) 购买

成立日期:2014-03-18 基金经理:-- 类型:混合型     华商基金 资产规模:5.59亿元(截止至:2023年12月31日)

基本概况 分红送配 基金持仓 规模变动 持有人结构 购买信息
资产负债表
其他基金基金费率查询:
资产2020-12-312019-12-312018-12-312017-12-31
资产:
银行存款110,357,511.6343,914,203.8469,910,431.2147,560,074.04
结算备付金10,198,172.582,320,322.641,015,442.34946,105.25
存出保证金747,093.19432,070.24405,703.43404,633.06
交易性金融资产1,098,120,986.36525,799,553.97300,469,613.90604,998,816.99
其中:股票投资1,098,120,986.36525,799,553.97300,469,613.90604,998,816.99
其中:基金投资------------
其中:债券投资------------
其中: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---9,434,666.2440,275.974,706,567.40
应收利息15,262.9414,030.6317,048.3012,155.23
应收股利------------
应收申购款1,787,432.871,676,928.0915,742.9377,448.16
递延所得税资产------------
其他资产------------
资产总计1,221,226,459.57583,591,775.65371,874,258.08658,705,800.13
负债和所有者权益2020-12-312019-12-312018-12-312017-12-31
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20,616,404.957,073,104.777,843,010.926,216,114.07
应付赎回款12,440,349.402,291,310.20101,912.46649,944.32
应付管理人报酬1,388,818.55703,014.48475,649.38812,516.48
应付托管费231,469.75117,169.1079,274.89135,419.39
应付销售服务费------------
应付税费0.63---------
应付利息------------
应收利润------------
递延所得税负债------------
其他负债217,708.83180,470.66360,080.88200,253.22
负债合计40,460,006.8012,426,878.499,660,380.948,580,766.92
所有者权益:
实收基金410,799,742.33400,290,572.93422,329,211.69494,970,466.57
所有者权益合计1,180,766,452.77571,164,897.16362,213,877.14650,125,033.21
负债和所有者权益合计1,221,226,459.57583,591,775.65371,874,258.08658,705,800.13