服务热线:400-8878-707
中海积极增利混合(001279) 单位净值(2024-03-04):2.0090(0.55%) 购买

成立日期:2015-05-20 基金经理:-- 类型:混合型     中海基金 资产规模:1.16亿元(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2022-12-312021-12-312020-12-312019-12-31
资产:
银行存款110,014,609.7135,552,464.4811,755,119.5624,292,061.68
结算备付金398,479.921,104,812.34432,605.80440,881.82
存出保证金196,375.72109,992.9756,481.55103,023.57
交易性金融资产262,383,846.00345,673,608.9186,249,535.77120,131,402.17
其中:股票投资261,748,012.95345,348,608.9183,043,732.57111,346,569.74
其中:基金投资------------
其中:债券投资635,833.05325,000.003,205,803.208,784,832.43
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---1,665,739.281,401,082.044,986,972.21
应收利息---3,975.412,117.3311,083.83
应收股利------------
应收申购款75,817.12374,388.8821,682.09141,671.66
递延所得税资产------------
其他资产------------
资产总计373,069,128.47384,484,982.2799,918,624.14150,107,096.94
负债和所有者权益2022-12-312021-12-312020-12-312019-12-31
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47,933,262.74---15,860.16---
应付赎回款144,435.18570,042.38574,235.91247,109.63
应付管理人报酬414,965.09470,098.90121,416.34209,209.43
应付托管费69,160.8478,349.8020,236.0634,868.24
应付销售服务费------------
应付税费2.093.0028.9370.67
应付利息------------
应收利润------------
递延所得税负债------------
其他负债768,793.55165,612.81165,565.4745,190.53
负债合计49,330,619.491,731,626.741,078,824.85865,428.43
所有者权益:
实收基金127,295,272.56127,876,356.6353,525,056.32132,710,566.33
所有者权益合计323,738,508.98382,753,355.5398,839,799.29149,241,668.51
负债和所有者权益合计373,069,128.47384,484,982.2799,918,624.14150,107,096.94