☆财务分析☆   ◇港澳资讯160505   更新日期:2008-04-23◇   灵通V3.0
【单季度财务指标】
┌─────────┬─────┬─────┬─────┬─────┐
|指标名称(单位)    |2008一季度|2007四季度|2007三季度|2007二季度|
├─────────┼─────┼─────┼─────┼─────┤
|单位净收益(元)    |   -0.5779|         -|         -|    0.5183|
|单位资产净值(元)  |    1.9740|    2.5510|    2.9380|    2.1124|
|净收益(万元)      |-717304.49|  52450.71|  49199.15| 162814.99|
|资产净值(万元)    |2243859.51|3164305.47|1881554.00| 695847.15|
|净值增长率(%)    |  -22.6200|    5.8600|   39.0800|   46.5200|
└─────────┴─────┴─────┴─────┴─────┘
【单位指标】
┌─────────┬─────┬─────┬─────┬─────┐
|指标名称(单位)    |2007-12-31|2007-06-30|2006-12-31|2006-06-30|
├─────────┼─────┼─────┼─────┼─────┤
|单位基金净收益(元)|1.7723    |0.6229    |0.6695    |0.2469    |
|单位可分配收益(元)|0.3554    |0.7132    |0.0029    |0.2071    |
|单位基金净资产(元)|2.5510    |2.1124    |1.0776    |1.4159    |
|净值增长率(%)    |188.6100  |96.0300   |104.8800  |49.1000   |
└─────────┴─────┴─────┴─────┴─────┘

【利润结构】
┌─────────┬─────┬─────┬─────┬─────┐
|指标名称(单位)    |2007-12-31|2007-06-30|2006-12-31|2006-06-30|
├─────────┼─────┼─────┼─────┼─────┤
|基金总收入(万元)  |980358.24 |245835.79 |53407.07  |19101.43  |
|证券买卖差价      |          |          |          |          |
|收入_股票(万元)   |-         |-         |50652.63  |17608.95  |
|股票买卖差价收    |          |          |          |          |
|入占总收入比重    |-         |-         |94.84     |92.19     |
|证券买卖差价      |          |          |          |          |
|收入_债券(万元)   |-         |237266.75 |-         |-         |
|债券买卖差价收    |          |          |          |          |
|入占总收入比重    |0.00      |96.51     |0.00      |0.00      |
|费用合计(万元)    |30857.17  |5095.49   |1744.29   |781.83    |
|费用同比增长率    |1669.04   |551.74    |-6.13     |-20.62    |
|净收益(万元)      |949501.07 |240740.30 |51662.78  |18319.60  |
|期末未分配        |          |          |          |          |
|收益(万元)        |-         |234950.07 |1554.23   |11933.83  |
└─────────┴─────┴─────┴─────┴─────┘

【资产负债结构】
┌─────────┬─────┬─────┬─────┬─────┐
|指标名称(单位)    |2007-12-31|2007-06-30|2006-12-31|2006-06-30|
├─────────┼─────┼─────┼─────┼─────┤
|基金资产总值(万元)|3180029.62|711376.56 |645470.25 |82199.72  |
|货币资金(万元)    |509518.22 |135933.97 |230959.59 |6261.00   |
|货币资金占基金    |          |          |          |          |
|资产总值比例      |16.02     |19.11     |35.78     |7.62      |
|股票投资_         |          |          |          |          |
|成本(万元)        |-         |376913.51 |355093.22 |57258.54  |
|股票投资_         |          |          |          |          |
|估值增值(万元)    |-         |-         |-         |-         |
|未实现资          |          |          |          |          |
|本利得(万元)      |-         |-         |-         |-         |
|未实现资本利得占  |          |          |          |          |
|基金资产总值比例  |-         |-         |-         |-         |
|债券投资_         |          |          |          |          |
|成本(万元)        |-         |25381.69  |-         |-         |
|债券投资_         |          |          |          |          |
|估值增值(万元)    |-         |-         |-         |-         |
|负债总额(万元)    |15724.14  |15529.41  |65343.51  |629.49    |
└─────────┴─────┴─────┴─────┴─────┘

【盈利与发展能力】
┌─────────┬─────┬─────┬─────┬─────┐
|指标名称(单位)    |2007-12-31|2007-06-30|2006-12-31|2006-06-30|
├─────────┼─────┼─────┼─────┼─────┤
|基金净资产        |          |          |          |          |
|收益率(%)         |76.61     |41.36     |53.37     |21.27     |
|基金总收入        |          |          |          |          |
|增长率(%)         |-         |-         |-         |-         |
|净收益增长率(%)   |1737.88   |1214.11   |1365.87   |429.33    |
|总资产增长率(%)   |392.67    |765.42    |427.96    |-19.70    |
|累计净值增长率(%) |509.60    |314.05    |111.22    |53.71     |
└─────────┴─────┴─────┴─────┴─────┘
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