1322: Listed Index Fund China A Share (Panda) E Fund CSI300 | Loan/debt balances (JSDA)

Report dateLoan balanceWeek over weekDebt balance (own)Week over weekDebt balance (sublease)Week over weekNew loan contract amountWeek over weekNew debt contract amount (own)Week over weekNew debt contract amount (sublease)Week over week
2025-01-10(金)4,97000022,690+3200000550+540
2024-12-30(月)4,97000022,370-40000010-90
2024-12-27(金)4,970-10,4700022,410-2700-12000100-30
2024-12-20(金)15,440+10,2600022,680-280120-10,02000130-1,810
2024-12-13(金)5,18000022,960+1,04010,140+10,140001,940+1,590
2024-12-06(金)5,180+3400021,920+3400000350-30
2024-11-29(金)4,840-3400021,580+2900000380-180
2024-11-22(金)5,18000021,290-100000560-270
2024-11-15(金)5,18000021,300-900000830+330
2024-11-08(金)5,180+3400021,390-4400000500+10
2024-11-01(金)4,840-3400021,830+1100000490-1,020
2024-10-25(金)5,180-2000021,720+20000001,510+860
2024-10-18(金)5,380-9,3200021,520-5,2500-11,0000-500650-11,990
2024-10-11(金)14,700+9,5200026,770+9,36011,000+10,800500012,640+10,840
2024-10-04(金)5,18000017,410-1,520200+200500+5001,800+710
2024-09-27(金)5,18000018,930+1400-3,800001,090+1,020
2024-09-20(金)5,180+3,8000018,790+503,800+3,8000070-230
2024-09-13(金)1,38000018,740+2900-70000300+240
2024-09-06(金)1,380+7000018,450+70700+7000060-30
2024-08-30(金)68000018,380+100000090+40