2025-05-04136673.5 KB60页30
2025-05-0413651.5 KB9页36
2025-05-0413540.5 KB4页33
2025-05-04135550.5 KB29页49
2025-05-0413522.5 KB1页31
2025-05-0413534 KB4页31
2025-05-0413533.5 KB5页30
2025-05-0413543 KB3页19
2025-05-0213517 KB2页37
2025-05-0413535 KB4页11
2025-05-04135107.5 KB19页24
2025-05-0513544 KB7页28
2025-05-0413532.5 KB2页16
2025-05-0413534 KB3页19
调整前方案一调整后方案二调整后备注资产流动资产:---现金29,913.4429,913.4429,913.44银行存款68,649,098.0768,649,098.0768,649,098.07其中:经纪业务客户资金存款68,450,606.4768,450,606.4768,450,606.47清算备付金15,526,260.8615,526,260.8615,526,260.86其中:经纪业务客户资金存款15,466,440.2015,466,440.2015,466,440.20交易保证金950,000.00950,000.00950,000.00应收款项50,840,500.5349,076,400.5389,076,400.53坏... 2025-05-04134248.5 KB23页25
2025-05-04134325 KB39页37
2025-05-0413449.5 KB4页41
2025-05-0413492.5 KB13页11
2025-05-0413436.5 KB4页14
2025-05-0513464.5 KB5页46