2025-05-0417322 KB2页19
2025-05-0410738 KB3页19
资产负债表编制单位:陕西省开源公司项目合并数母公司数2000.12.312000.12.31资产流动资产:现金80,404.9080,404.90银行存款108,103,170.0683,103,120.06其中:客户资金存款81,257,615.6781,257,615.67清算备付金13,084,867.3813,084,867.38其中:客户备付金13,084,867.3813,084,867.38交易保证金781,631.57781,631.57应收款项106,116,337.8292,100,041.53减:坏帐准备318,349.01276,300.12应收款项净额105,797,988.8191,823,74... 2025-05-048428 KB4页19
2025-05-0419220 KB1页19
调整前方案一调整后资产0流动资产:-现金29,913.44银行存款68,649,098.070-其中:经纪业务客户资金存款68,450,606.47自有资金存款198,491.60清算备付金15,526,260.86其中:经纪业务客户资金存款15,466,440.20自有资金存款59,820.660-交易保证金950,000.00应收款项50,840,500.530-0-坏账准备254,202.50应收款项净额50,586,298.03应收股利-应收利息-代发行证券-代兑付债券-受托资产-代转发行费用-待摊费用131,788.09待处理流动资... 2025-05-04127190.5 KB17页19
2025-05-04751.16 MB87页19
2025-05-046248.5 KB1页19
2025-05-0411630 KB1页19
2025-05-0412349 KB7页19
2025-05-0416319 KB1页19
2025-05-04751.01 MB52页19
2025-05-0468148.5 KB45页19
2025-05-047252.5 KB6页19
2025-05-0568219.5 KB11页19
2025-05-05119219.5 KB4页19
2025-05-05123134 KB1页19
2025-05-05129178.5 KB1页19
2025-05-05146177.5 KB1页19
2025-05-059023 KB2页19
2025-05-0312666 KB6页19