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资 产 负 债 表 |
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(保赔保险) |
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单位名称:中国船东互保协会 |
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单位:美元 |
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保赔险和抗辩责任险合计 |
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保赔险 |
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抗辩责任险 |
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项目 |
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注释 |
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资产 |
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货币资金 |
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28,468,931.05 |
19,260,743.23 |
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28,468,931.05 |
19,260,743.23 |
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存出保证金 |
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3,120,351.47 |
6,568,012.31 |
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3,120,351.47 |
6,568,012.31 |
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应收会费 |
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1,775,717.38 |
1,912,284.87 |
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1,775,717.38 |
1,912,284.87 |
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应收再保摊回赔款 |
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126,590.74 |
235,876.86 |
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126,590.74 |
235,876.86 |
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其他应收款 |
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3 |
5,048,893.66 |
3,876,077.24 |
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5,048,893.66 |
3,870,443.53 |
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- |
5,633.71 |
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流动资产合计 |
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38,540,484.30 |
31,852,994.51 |
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38,540,484.30 |
31,847,360.80 |
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- |
5,633.71 |
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长期投资 |
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4 |
176,888,703.41 |
131,667,676.94 |
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176,558,141.77 |
131,417,581.03 |
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330,561.64 |
250,095.91 |
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长期投资合计 |
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176,888,703.41 |
131,667,676.94 |
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176,558,141.77 |
131,417,581.03 |
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330,561.64 |
250,095.91 |
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固定资产原值 |
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3,215,380.85 |
3,094,252.34 |
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3,215,380.85 |
3,094,252.34 |
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减:累计折旧 |
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499,127.75 |
423,802.96 |
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499,127.75 |
423,802.96 |
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固定资产净值 |
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2,716,253.10 |
2,670,449.38 |
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2,716,253.10 |
2,670,449.38 |
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资产合计 |
A |
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218,145,440.81 |
166,191,120.83 |
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217,814,879.17 |
165,935,391.21 |
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330,561.64 |
255,729.62 |
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负债 |
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短期借款 |
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7,363,579.99 |
3,851,745.09 |
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7,363,579.99 |
3,851,745.09 |
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未决赔款准备金 |
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8 |
43,308,937.00 |
42,353,681.00 |
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43,200,337.00 |
42,262,081.00 |
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108,600.00 |
91,600.00 |
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其他应付款 |
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3 |
2,991,746.20 |
2,224,935.74 |
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3,000,551.70
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2,224,935.74 |
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(8,805.50) |
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存入保证金 |
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负债合计 |
B |
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53,664,263.19 |
48,430,361.83 |
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53,564,468.69 |
48,338,761.83 |
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99,794.50 |
91,600.00 |
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保赔基金 |
C |
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164,481,177.62 |
117,760,759.00 |
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164,250,410.48 |
117,596,629.38 |
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230,767.14 |
164,129.62 |
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负债及保赔基金合计 |
D=B+C |
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218,145,440.81 |
166,191,120.83 |
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217,814,879.17 |
165,935,391.21 |
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330,561.64 |
255,729.62 |
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