资产流动资产:现金108.2092,047.1091,938.90银行存款81,058,177.1781,058,177.17自有存款434,017.79434,017.79其中:客户资金存款80,624,159.3880,624,159.38清算备付金812,004.42812,004.42其中:客户备付金812,004.42812,004.42交易保证金950,000.00950,000.00应收款项43,111,290.0079,300,109.3036,188,819.3079,300,109.30减:坏帐准备172,622.94172,622.94应收款项净额43,111,290.0079,127,486.3636,016,196.36代兑付债券... 2025-05-046423 KB4页48
2025-05-04130104 KB20页25
2025-05-04135107.5 KB19页24
2025-05-047395 KB7页33
2025-05-0418473 KB11页27
2025-05-0410973 KB10页27
2025-05-0415775.5 KB10页24
2025-05-0420073.5 KB11页14
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... 2025-05-0414335.5 KB6页20
2025-05-0410594.5 KB23页27
2025-05-0419024 KB3页45
2025-05-0412921.5 KB1页33
2025-05-0419826 KB5页32
2025-05-0410268 KB17页37
2025-05-0418540 KB2页26
2025-05-0416866 KB8页39
2025-05-0413920.5 KB2页32
2025-05-0418439 KB9页45
2025-05-0416436.5 KB5页37
2025-05-0454106.5 KB19页47