服务热线:400-8878-707
中海积极收益混合(000597) 单位净值(2024-03-04):1.3370(0.60%) 购买

成立日期:2014-05-26 基金经理:-- 类型:混合型     中海基金 资产规模:1.51亿元(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2017-12-312016-12-312015-12-312014-12-31
资产:
银行存款3,458,277.855,713,001.581,945,140,165.68173,261,300.00
结算备付金862,940.92789,252.48406,034.341,504,912.00
存出保证金313,675.60214,941.46289,117.66102,977.80
交易性金融资产72,293.70550,193,192.00125,264,093.72140,875,100.00
其中:股票投资72,293.7084,587,793.2033,633,333.1225,027,340.00
其中:基金投资------------
其中:债券投资---465,605,398.8091,630,760.60115,847,800.00
其中:资产支持证券投资------------
衍生金融资产------------
买入返售金融资产1,500,000.0056,000,000.001,288,602,284.3070,000,420.00
应收证券清算款---4,329,619.31943,834.611,462,222.00
应收利息2,715.054,344,380.513,214,331.552,160,597.00
应收股利------------
应收申购款36,594.034,612.75---1,003.51
递延所得税资产------------
其他资产------------
资产总计6,246,497.15621,589,000.093,363,859,861.86389,368,500.00
负债和所有者权益2017-12-312016-12-312015-12-312014-12-31
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1,500,000.00------494,343.90
应付赎回款8,286.03---20,162,776.87105,020.10
应付管理人报酬49,591.83421,806.192,471,237.91268,076.00
应付托管费15,497.43131,814.45772,261.8583,773.76
应付销售服务费15,497.43131,814.45772,261.8583,773.76
应付税费------------
应付利息------------
应收利润------------
递延所得税负债------------
其他负债64,300.00330,000.00112,000.0070,000.00
负债合计2,018,317.651,422,454.4924,481,402.131,319,707.00
所有者权益:
实收基金3,372,423.40536,687,245.343,013,028,000.03370,185,800.00
所有者权益合计4,228,179.50620,166,545.603,339,378,459.73388,048,800.00
负债和所有者权益合计6,246,497.15621,589,000.093,363,859,861.86389,368,500.00