2025-04-305724.5 KB1页32
2025-04-3057535.5 KB43页12
2025-04-3057204 KB7页32
2025-05-015718 KB2页38
2025-05-01571.95 MB196页40
2025-05-025740 KB3页14
2025-05-0257547 KB14页31
2025-05-025771.5 KB11页50
2025-05-025733 KB2页17
2025-05-025743 KB1页40
实达期货财务预测(5亿)资产负债表——资产20002001200220032004流动资产现金及银行存款1,4981,9732,98426,56320,865短期投资3,00020,00025,000席位占用费应收帐款5282,0009003,7507,500预付帐款5046007203,0006,000其他应收款1000000低值易耗品待摊费用82000待处理流动资产净损失一年内到期的长期债权投资保证金存款2,0841,6003,00012,50025,000应收保证金2,7098,4009,00037,50075,000客户质押应收交割款风险准备资产结算差异... 2025-03-085664 KB5页49
2025-04-2356173.5 KB16页21
2025-04-2856396.5 KB68页30
2025-04-285664 KB3页44
2025-04-285639 KB5页12
2025-04-285629 KB2页13
2025-04-285622.5 KB2页44
2025-04-2956158.5 KB17页28
2025-04-295688.17 KB1页40
2025-04-295620.5 KB1页17