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zszq-trs/YLErpWeb/Views/clientbalance/TradeMarketReport.cshtml
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@{
ViewBag.Title = "每日估值报告";
ViewBag.Menu = "结算财务-每日估值报告";
Layout = "~/Views/Shared/_MainLayout.cshtml";
var tradeMarketShowTotalNetSettlement = PS.Config.ClientElement.TradeMarketShowTotalNetSettlement;
var nv = YieldChain.Helpers.UrlHelper.ParseQueryString(PS.Config.ErpElement.TradeMarketReportCfg);
var jsClients = JsDataModel.GetAllClients();
}
@section CSS {
<link href="~/Style/Css/TradeMarketReport.css?v=@(HtmlUtil.JsVersion)" rel="stylesheet" />
<style>
.no-skin {
position: static !important;
}
#ValueDateFrom, #ValueDate {
width: 152px !important;
font-size: 1rem !important;
}
</style>
}
@section JS {
<script type="text/javascript">
var isPvRounded = "@YLErp.PS.Config.IsPVRounded" == "True";
var isShenWan = "@YLErp.PS.Config.Is申万" == "True";
var isHongYuan = "@YLErp.PS.Config.Is宏源" == "True";
var isXiangYu = "@YLErp.PS.Config.Is厦门象屿" == "True";
var isRunHe = "@(PS.Config.Company == CompanyEnum.润和)" == "True";
var isGuoTou = "@YLErp.PS.Config.Is国投" == "True";
var canUpdatePayableMargin = "@CurUser.结算管理_预付金占用修改" == "True";
var isXiangCai = "@YLErp.PS.Config.Is湘财" == "True";
var page = {
ValueDate: '@valuedateBLL.ValueDate.ToString("yyyy-MM-dd")',
EndTime: "@ViewBag.EndTime",
StartTime: "@ViewBag.StartTime",
ClientId: "@(ViewBag.clientId)",
ParentFlag: "@(ViewBag.ParentFlag)",
TradeMarketReportCfg: "@(nv?["开始日期"].TrimToNull() ?? "NONE")"
};
const clients = @Json.Serialize(jsClients);
</script>
<script src="~/Scripts/app/client/tradeMarketReport.js?v=@(HtmlUtil.JsVersion)"></script>
}
<div class="searchdiv">
@Html.MyAceDropdownInput("ClientId", "客户名称", ClientDataModel.GetAllClient(), false, true, null, false)
@Html.CheckBox("ParentFlag", false) @Html.Label(null, "包含子级", new { @style = "font-size:12px;" })
@Html.ShortInput("ValueDateFrom", "起始日期:")
@Html.ShortInput("ValueDate", "结束日期:")
@MyControls.SearchBtn()
@if (CurUser.结算管理_每日估值报告邮件发送)
{
@MyControls.Btn("配置报告", "PopDesc()")
@MyControls.Btn("发送报告", "SendReport()")
}
@if (CurUser.结算管理_导入外部结算数据)
{
@MyControls.Btn("上传数据", "Upload()")
}
@Html.DropDownList("ShownType", new List<SelectListItem>() {
new SelectListItem(){ Value = "GetOuterMargin",Text = "外部预付金"},
new SelectListItem(){ Value = "default",Text = "系统默认"}
//new SelectListItem(){ Value = "ClientBalanceGap",Text = "财务增量"},
}, new { id = "ShownType", onchange = "SearchClick()" })
</div>
<br />
<div class="tabbable">
<ul id="myTab" class="nav nav-tabs nav-main">
<li class="nav-item">
<a class="nav-link active" href="#">账户状况</a>
</li>
<li class="nav-item">
<a class="nav-link" onclick='locationChange("/swaptrade2/TradeMarketReport_EodPosition")' id="positionTab">互换估值</a>
</li>
<li class="nav-item">
<a class="nav-link" onclick='locationChange("/clientbalance/TradeMarketReport_HistoricalPositionSwapFlow")' id="historySwapTab">互换交易流水</a>
</li>
<li class="nav-item">
<a class="nav-link" onclick='locationChange("/clientbalance/TradeMarketReport_BalanceStatement")'>资金明细</a>
</li>
<li class="nav-item">
<a class="nav-link" onclick='locationChange("/clientbalance/TradeMarketReport_Collateral")'>质押记录</a>
</li>
</ul>
</div>
<div class="yc-panel mt-0">
@if (PS.Config.Is申万)
{
<fieldset id="fieldsetbalanceInfo">
<table class="table table-bordered table-sm table-striped" id="balanceInfo">
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td>空头浮动盈利</td><td id="ClientSellPositionPnl"></td></tr>
<tr><td>本日入金</td><td id="CashInChange"></td><td>客户权益</td><td id="Amount"></td></tr>
<tr><td>本日出金</td><td id="CashOutChange"></td><td>期权市值</td><td id="Pv"></td></tr>
<tr><td>本日权利金收支</td><td id="OptionPremiumAndUnwindBalance"></td><td>应缴纳预付金</td><td id="WorstCastClientPayable"></td></tr>
<tr><td>行权收益</td><td id="ExerciseBalance"></td><td>预付金总额</td><td id="TotalMargin"></td></tr>
<tr><td>资金结存</td><td id="ToDayRemainFund"></td><td>应追加预付金</td><td id="Margin"></td></tr>
<tr><td></td><td></td><td style="font-weight: bolder">可提取预付金</td><td id="DesirableFund" style="font-weight: bolder"></td></tr>
</table>
</fieldset>
}
else if (PS.Config.Company == CompanyEnum.润和)
{
<fieldset id="fieldsetbalanceInfo">
<table class="table table-bordered table-sm table-striped" id="balanceInfo">
<tr><td colspan="2" class="title">收支与结存</td><td colspan="2" class="title">占用与可取</td><td colspan="2" class="title">盈亏与估值</td></tr>
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td style="font-weight: bold; color: forestgreen;">预付金占用</td><td><input onkeyup="this.value = this.value.replace(/[^0-9.]/g, '')" onblur="this.value = (/^(0|[1-9]\d*)(\.\d*)?$/.test(this.value) ? this.value : '')" id="WorstCastClientPayable" @(CurUser.结算管理_预付金占用修改 ? "" : "disabled: disabled") /><a href="#" onclick="unlockPayableMarginManual()" style="text-decoration:none; display: none;" id="unlock">解锁</a></td><td>实现盈亏</td><td id="WinLoss"></td></tr>
<tr><td>出金入金</td><td id="CashInCashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>持仓盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>成交收支</td><td id="OptionPremium"></td><td>授信额度</td><td id="Credit"></td><td>持仓市值</td><td id="Pv"></td></tr>
<tr><td>了结收支</td><td id="SettlementBalance"></td><td>授信占用</td><td id="CreditOccupy"></td><td style="font-weight: bold; color: dodgerblue;">总资产</td><td id="Amount"></td></tr>
<tr><td>其他收支</td><td id="OtherFund"></td><td style="font-weight: bold;">追保金额</td><td id="Margin"></td><td></td><td></td></tr>
<tr><td>期末结存</td><td id="ToDayRemainFund"></td><td style="font-weight: bold; color: dodgerblue;">可取资金</td><td id="DesirableFund"></td><td></td><td></td></tr>
<tr><td>质押市值</td><td id="TodayRemianFundProduct"></td><td></td><td></td><td></td><td></td></tr>
</table>
<input type="hidden" id="PayableFund" />
<input type="hidden" id="IsTradeCredit" />
<input type="hidden" id="TotalCredit" />
<input type="hidden" id="MarginBalance" />
<input type="hidden" id="FrozenMarginMoney" />
<input type="hidden" id="FrozenRedeemFunds" />
<input type="hidden" id="PositionPremiumNetCash" />
</fieldset>
}
else if (PS.Config.Company == CompanyEnum.国投)
{
<fieldset id="fieldsetbalanceInfo">
<table class="table table-bordered table-sm table-striped" id="balanceInfo">
<tr><td colspan="2" class="title">收支与结存</td><td colspan="2" class="title">应付与可取</td><td colspan="2" class="title">盈亏与估值</td></tr>
<tr>
<td>期初余额</td>
<td id="LastDayRemainFund"></td>
<td style="font-weight: bold; color: forestgreen;">浮动预付金</td>
<td><input onkeyup="this.value = this.value.replace(/[^0-9.]/g, '')" onblur="this.value = (/^(0|[1-9]\d*)(\.\d*)?$/.test(this.value) ? this.value : '')" id="WorstCastClientPayable" @(CurUser.结算管理_预付金占用修改 ? "" : "disabled: disabled") /><a href="#" onclick="unlockPayableMarginManual()" style="text-decoration:none; display: none;" id="unlock">解锁</a></td>
<td>已平仓盈亏</td>
<td id="WinLossSum"></td>
</tr>
<tr><td>入金</td><td id="CashInChange"></td><td>权利金收付</td><td id="OptionPremiumAndSwapSum"></td><td>持仓浮动盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>出金</td><td id="CashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>市值权益</td><td id="AmountFundWithPositionPnl"></td></tr>
<tr><td>当日终止</td><td id="ToEndBalance"></td><td>授信额度</td><td id="Credit"></td><td></td><td></td></tr>
<tr><td>期末余额</td><td id="ToDayRemainFund"><td style="font-weight: bold; color:#017bb9">可提取金额</td><td id="DesirableFund"></td><td></td><td></td></tr>
</table>
</fieldset>
}
else if (PS.Config.Company == CompanyEnum.湘财)
{
<fieldset id="fieldsetbalanceInfo">
<table class="table table-bordered table-sm table-striped" id="balanceInfo">
<tr><td colspan="2" class="title">收支与结存</td><td colspan="2" class="title">应付与可取</td><td colspan="2" class="title">盈亏与估值</td></tr>
@if (PS.Config.ErpElement.SuppotSnowballSpecialist)
{
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td style="font-weight: bold; color: forestgreen;">预付金占用</td><td><input onkeyup="this.value = this.value.replace(/[^0-9.]/g, '')" onblur="this.value = (/^(0|[1-9]\d*)(\.\d*)?$/.test(this.value) ? this.value : '')" id="WorstCastClientPayable" @(CurUser.结算管理_预付金占用修改 ? "" : "disabled: disabled") /><a href="#" onclick="unlockPayableMarginManual()" style="text-decoration:none; display: none;" id="unlock">解锁</a></td><td>实现盈亏</td><td id="WinLoss"></td></tr>
<tr><td>出金入金</td><td id="CashInCashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>持仓盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>成交收支</td><td id="OptionPremium"></td><td>授信额度</td><td id="Credit"></td><td></td><td></td></tr>
<tr>
<td>了结收支</td>
<td id="SettlementBalance"></td>
<td style="font-weight: bold;">追保金额</td>
<td id="Margin"></td>
<td></td>
<td></td>
</tr>
<tr><td>票息</td><td id="Coupon"></td><td style="font-weight: bold; color: dodgerblue;">可取资金</td><td id="DesirableFund"></td><td></td></tr>
}
else
{
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td style="font-weight: bold; color: forestgreen;">预付金占用</td><td><input onkeyup="this.value = this.value.replace(/[^0-9.]/g, '')" onblur="this.value = (/^(0|[1-9]\d*)(\.\d*)?$/.test(this.value) ? this.value : '')" id="WorstCastClientPayable" @(CurUser.结算管理_预付金占用修改 ? "" : "disabled: disabled") /><a href="#" onclick="unlockPayableMarginManual()" style="text-decoration:none; display: none;" id="unlock">解锁</a></td><td>实现盈亏</td><td id="WinLoss"></td></tr>
<tr><td>出金入金</td><td id="CashInCashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>持仓盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>成交收支</td><td id="OptionPremium"></td><td>授信额度</td><td id="Credit"></td><td>持仓市值</td><td id="Pv"></td></tr>
<tr>
<td>了结收支</td>
<td id="SettlementBalance"></td>
<td style="font-weight: bold;">追保金额</td>
<td id="Margin"></td>
<td></td>
<td></td>
</tr>
<tr><td>票息</td><td id="Coupon"></td><td style="font-weight: bold; color: dodgerblue;">可取资金</td><td id="DesirableFund"></td><td></td></tr>
}
<tr><td>互换成交收支</td><td id="OptionPremiumSwap"></td><td></td><td></td><td></td><td></td></tr>
<tr><td>互换了结收支</td><td id="SwapBalance"></td><td></td><td></td><td></td><td></td></tr>
<tr><td>其他收支</td><td id="OtherFund"></td><td></td><td></td><td></td><td></td></tr>
<tr>
<td>期末结存</td>
<td id="ToDayRemainFund"></td>
@if (PS.Config.Is厦门象屿)
{
<td>阈值</td>
<td>
<input onkeyup="this.value = this.value.replace(/[^0-9.]/g, '')"
onblur="this.value = (/^(0|[1-9]\d*)(\.\d*)?$/.test(this.value) ? this.value : '')"
id="FundThreshold" />
</td>
}
<td></td>
<td></td>
</tr>
<tr>
<td>质押市值</td>
<td id="TodayRemianFundProduct"></td>
<td></td>
<td></td>
<td></td>
<td></td>
</tr>
@if (tradeMarketShowTotalNetSettlement)
{
<tr>
<td>总盈亏</td>
<td id="TotalNetSettlement"></td>
</tr>
}
</table>
<input type="hidden" id="IsTradeCredit" />
<input type="hidden" id="TotalCredit" />
<input type="hidden" id="MarginBalance" />
<input type="hidden" id="FrozenMarginMoney" />
<input type="hidden" id="FrozenRedeemFunds" />
<input type="hidden" id="PositionPremiumNetCash" />
</fieldset>
}
else if (PS.Config.Company == CompanyEnum.浙商)
{
<fieldset id="fieldsetbalanceInfo">
<table class="table table-bordered table-sm table-striped" id="balanceInfo">
<tr><td colspan="2" class="title">收支与结存</td><td colspan="2" class="title">可用与追保</td><td colspan="2" class="title">盈亏与估值</td></tr>
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td style="font-weight: bold; color: forestgreen;">保证金占用</td> <td id="NoccupyMargin"></td><td>已实现盈亏</td><td id="WinLoss"></td></tr>
<tr><td>出金入金</td><td id="CashInCashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>持仓盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>其他收支</td><td id="OtherFund"></td><td style="font-weight: bold;">追保金额</td><td id="PositionTradePayableFund"></td><td>持仓市值</td><td id="Pv"></td></tr>
<tr><td>期末结存</td><td id="ToDayRemainFund"></td><td style="font-weight: bold; color: dodgerblue;">可取资金</td><td id="Margin"></td><td style="font-weight: bold; color: dodgerblue;">总资产</td><td id="Amount"></td></tr>
@if (tradeMarketShowTotalNetSettlement)
{
<tr>
<td>总盈亏</td>
<td id="TotalNetSettlement"></td>
</tr>
}
</table>
<input type="hidden" id="IsTradeCredit" />
<input type="hidden" id="TotalCredit" />
<input type="hidden" id="MarginBalance" />
<input type="hidden" id="FrozenMarginMoney" />
<input type="hidden" id="FrozenRedeemFunds" />
<input type="hidden" id="PositionPremiumNetCash" />
</fieldset>
}
else
{
<fieldset id="fieldsetbalanceInfo">
<table class="table table-bordered table-sm table-striped" id="balanceInfo">
<tr><td colspan="2" class="title">收支与结存</td><td colspan="2" class="title">应付与可取</td><td colspan="2" class="title">盈亏与估值</td></tr>
@if (PS.Config.ErpElement.SuppotSnowballSpecialist)
{
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td style="font-weight: bold; color: forestgreen;">预付金占用</td><td><input onkeyup="this.value = onkeyupMargin(this.value)" id="WorstCastClientPayable" @(CurUser.结算管理_预付金占用修改 ? "" : "disabled: disabled") /><a href="#" onclick="unlockPayableMarginManual()" style="text-decoration:none; display: none;" id="unlock">解锁</a></td><td>实现盈亏</td><td id="WinLoss"></td></tr>
<tr><td>出金入金</td><td id="CashInCashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>持仓盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>成交收支</td><td id="OptionPremium"></td><td>授信额度</td><td id="Credit"></td><td>持仓市值</td><td id="Pv"></td></tr>
<tr>
<td>了结收支</td>
<td id="SettlementBalance"></td>
<td style="font-weight: bold;">应付了结交易款</td>
<td id="ClosedTradePayableFund"></td>
<td>其中:预付金</td>
<td id="PrepaymentAmount"></td>
</tr>
<tr><td>票息</td><td id="Coupon"><td style="font-weight: bold;">应付存续交易款</td><td id="PositionTradePayableFund"></td><td style="font-weight: bold; color: dodgerblue;">总资产</td><td id="Amount"></td></tr>
}
else
{
<tr><td>期初结存</td><td id="LastDayRemainFund"></td><td style="font-weight: bold; color: forestgreen;">预付金占用</td><td><input onkeyup="this.value = onkeyupMargin(this.value)" id="WorstCastClientPayable" @(CurUser.结算管理_预付金占用修改 ? "" : "disabled: disabled") /><a href="#" onclick="unlockPayableMarginManual()" style="text-decoration:none; display: none;" id="unlock">解锁</a></td><td>实现盈亏</td><td id="WinLoss"></td></tr>
<tr><td>出金入金</td><td id="CashInCashOutChange"></td><td>可用资金</td><td id="AvailableFund"></td><td>持仓盈亏</td><td id="PositionPnl"></td></tr>
<tr><td>互换成交收支</td><td id="OptionPremiumSwap"></td><td>授信额度</td><td id="Credit"></td><td>持仓市值</td><td id="Pv"></td></tr>
<tr><td>互换了结收支</td><td id="SwapBalance"></td><td style="font-weight: bold;">应付了结交易款</td><td id="ClosedTradePayableFund"></td><td style="font-weight: bold; color: dodgerblue;">总资产</td><td id="Amount"></td></tr>
<tr><td>其他收支</td><td id="OtherFund"></td><td style="font-weight: bold;">应付存续交易款</td><td id="PositionTradePayableFund"></td><td></td><td></td></tr>
}
@if (PS.Config.Is东吴)
{
<tr>
<td>互换成交收支</td>
<td id="OptionPremiumSwap"></td>
<td style="font-weight: bold;">未结算部分权利金收益</td>
<td id="PositionPremium"></td>
<td></td>
<td></td>
</tr>
<tr>
<td>互换了结收支</td>
<td id="SwapBalance"></td>
<td style="font-weight: bold;">追保金额</td>
<td id="Margin"></td>
<td></td>
<td></td>
</tr>
<tr>
<td>其他收支</td>
<td id="OtherFund"></td>
<td style="font-weight: bold; color: dodgerblue;">应付资金总额</td>
<td><input onkeyup="this.value = this.value.replace(/[^0-9.]/g, '')" onblur="this.value = (/^(0|[1-9]\d*)(\.\d*)?$/.test(this.value) ? this.value : '')" id="PayableFund" style="text-align:center" /></td>
<td></td>
<td></td>
</tr>
<tr>
<td>期末结存</td>
<td id="ToDayRemainFund"></td>
<td style="font-weight: bold; color: dodgerblue;">可取资金</td>
<td id="DesirableFund"></td>
<td></td>
<td></td>
</tr>
<tr>
<td>质押市值</td>
<td id="TodayRemianFundProduct"></td>
<td style="font-weight: bold; color: dodgerblue;">期末结存_权利金后付</td>
<td id="EndDesirableFund"></td>
<td></td>
<td></td>
</tr>
}
else
{
<tr><td>期末结存</td><td id="ToDayRemainFund"></td><td style="font-weight: bold;">追保金额</td><td id="Margin"></td><td></td><td></td></tr>
<tr>
<td>质押市值</td>
<td id="TodayRemianFundProduct"></td>
<td style="font-weight: bold; color: dodgerblue;">应付资金总额</td>
<td><input onkeyup="this.value = onkeyupMargin(this.value)" onblur="this.value = onblurMargin(this.value)" id="PayableFund" style="text-align:center" /></td>
<td></td>
<td></td>
</tr>
<tr><td></td><td></td><td style="font-weight: bold; color: dodgerblue;">可取资金</td><td id="DesirableFund"></td><td></td><td></td></tr>
}
@if (tradeMarketShowTotalNetSettlement)
{
<tr>
<td>总盈亏</td>
<td id="TotalNetSettlement"></td>
</tr>
}
</table>
<input type="hidden" id="IsTradeCredit" />
<input type="hidden" id="TotalCredit" />
<input type="hidden" id="MarginBalance" />
<input type="hidden" id="FrozenMarginMoney" />
<input type="hidden" id="FrozenRedeemFunds" />
<input type="hidden" id="PositionPremiumNetCash" />
</fieldset>
}
</div>
<fieldset class="ml-3" id="fieldsetgbox_listGrid">
<span id="latestDataTip" style="color: red; display: none;">实时持仓服务未更新到最新数据,请确保服务更新后再查看报告!</span>
@if (PS.Config.Company == CompanyEnum.浙商)
{
<span style="color:gray">
<p><span style="font-size: 12px;">1.【期初结存】:观察期初即上期期末的结存;</span></p>
<p><span style="font-size: 12px;">2.【出金入金】:观察区间内的入金(正)和出金(负)的净额;</span></p>
@* <p><span style="font-size: 12px;">3.&nbsp;&nbsp;【成交收支】:观察区间内衍生品交易生命周期起点的净收入(卖出收入减去买入支出);</span></p>*@
@* <p><span style="font-size: 12px;">4.&nbsp;&nbsp;【了结收支】:观察区间内衍生品交易生命周期终点的净收入(了结收入减去了结支出);</span></p> *@
<p><span style="font-size: 12px;">3.【其他收支】:观察区间内的调整项;</span></p>
<p><span style="font-size: 12px;">4.【期末结存】:期末结存 =&nbsp; 期初结存+出金入金+已实现盈亏+其他收支;</span></p>
@* <p><span style="font-size: 12px;">7.&nbsp;&nbsp;【质押市值】:抵押的有价证券在观察期末的市值,只可用于抵扣保证金占用,不可抵扣交易款;</span></p> *@
<p><span style="font-size: 12px;">5.【保证金占用】:根据观察期末的持仓交易按特定算法计算的盯市保证金额,即观察期末不可使用需要暂时冻结的资金;</span></p>
<p><span style="font-size: 12px;">6.【可用资金】:观察期末可用于达成新交易的资金规模,可用资金=期末结存-保证金占用;</span></p>
@* <p><span style="font-size: 12px;">10.【授信额度】:我司在观察期末根据交易对手方的资信情况审慎提供的资金支持额度;</span></p> *@
@* <p><span style="font-size: 12px;">11.【应付了结交易款】:观察期末尚未结清的了结交易的成交与了结收支净额;&nbsp;</span></p><p><span style="font-size: 12px;">12.【应付存续交易款】:观察期末尚未结清的存续交易的成交收支;</span></p> *@
<p><span style="font-size: 12px;">7.【追保金额】:期末结存抵扣保证金占用后不足以抵扣的部分,追保金额=Max(0-可用资金,0; </span></p>
@* <p><span style="font-size: 12px;">14.【应付资金总额】:观察期末交易对手方应入金的资金总额,应付资金总额 = 应付了结交易款 + 应付存续交易款 + 追保金额;</span></p> *@
<p><span style="font-size: 12px;">8.【可取资金】:扣掉持仓亏损后(持仓盈利则不计算在内),观察期末被占用的可出金取出的资金,可取资金=期末结存-持仓亏损-保证金占用;</span></p>
<p><span style="font-size: 12px;">9.【已实现盈亏】:观察区间内平仓了结交易的盈亏;</span></p>
<p><span style="font-size: 12px;">10.【持仓盈亏】:观察期末存续交易的浮动盈亏;</span></p>
<p><span style="font-size: 12px;">11.【持仓市值】:观察期末存续交易的估值;</span></p>
<p><span style="font-size: 12px;">12.【总&nbsp; 资&nbsp; 产】:观察期末归属交易对手方的资产总额,总资产=期末结存+持仓市值 </span></p>
</span>
}
else
{
<span style="color:gray">
@Html.Raw(DBCacheManager.Single.GetStr(CacheTable.DingShiDesc))
</span>
}
</fieldset>
@await Html.PartialAsync("/Views/Common/_importFiles.cshtml", new ImportFileModel()
{
Title = "上传外部财务数据",
Accept = ".xlsx",
Buttons = new Dictionary<string, BtnReq>()
{
//["上传财务数据"] = new BtnReq() {OnClick = "uploadOuterData(false)"},
["上传外部预付金"] = new BtnReq() { OnClick = "uploadOuterData(true)" },
//["下载财务数据模板"]= new BtnReq() {OnClick = "downloadOuterDataTemplate()"},
["下载外部预付金模板"] = new BtnReq() { OnClick = "downloadOuterMarginTemplate()" },
},
//<p>上传财务数据将影响财务增量的显示</p>
NotesHtml = "<p>上传外部预付金将影响外部预付金的显示</p>"
})