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3-21 资金流量表(实物交易,1998年) |
单位: 亿元 |
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机构部门 |
非金融企业部门 |
金融机构部门 |
政府部门 |
住户部门 |
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国内合计 |
国外部门 |
合计 |
交易项目 |
运 用 |
来 源 |
运 用 |
来 源 |
运 用 |
来 源 |
运 用 |
来 源 |
运 用 |
来 源 |
运 用 |
来 源 |
运 用 |
来 源 |
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1.净出口 |
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-3051.40 |
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-3051.40 |
2.增加值 |
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45510.20 |
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1861.83 |
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7649.10 |
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23324.07 |
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78345.20 |
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78345.20 |
3.劳动者报酬 |
17052.80 |
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716.40 |
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6860.10 |
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21378.40 |
45998.84 |
46007.70 |
45998.84 |
8.03 |
16.89 |
46015.73 |
46015.73 |
(1)工资及工资性收入 |
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(2)单位社会保险付款 |
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4.生产税净额 |
10856.58 |
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782.64 |
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59.02 |
12724.34 |
1026.10 |
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12724.34 |
12724.34 |
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12724.34 |
12724.34 |
(1)生产税 |
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(2)生产补贴 |
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5.财产收入 |
7304.04 |
2586.01 |
6545.26 |
6789.00 |
721.28 |
249.80 |
30.75 |
3607.49 |
14601.33 |
13232.30 |
454.36 |
1823.39 |
15055.69 |
15055.69 |
(1)利息
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5870.33 |
2568.86 |
6515.03 |
6774.21 |
721.28 |
249.80 |
30.75 |
3527.96 |
13137.39 |
13120.83 |
447.07 |
463.63 |
13584.46 |
13584.46 |
(2)红利
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1433.71 |
7.29 |
0.00 |
14.79 |
0.00 |
0.00 |
0.00 |
59.16 |
1433.71 |
81.24 |
7.29 |
1359.76 |
1441.00 |
1441.00 |
(3)土地租金 |
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(4)其他
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9.86 |
30.23 |
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20.37 |
30.23 |
30.23 |
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30.23 |
30.23 |
6.初次分配总收入 |
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12882.79 |
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606.53 |
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12982.84 |
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50495.15 |
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76967.31 |
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76967.31 |
7.经常转移 |
2559.80 |
282.10 |
460.46 |
326.20 |
2911.21 |
3484.24 |
2498.38 |
4691.79 |
8429.85 |
8784.33 |
386.10 |
31.62 |
8815.95 |
8815.95 |
(1)收入税 |
905.50 |
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133.26 |
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1377.41 |
338.65 |
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1377.41 |
1377.41 |
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1377.41 |
1377.41 |
(2)社会保险付款
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1574.71 |
1562.63 |
1562.63 |
1574.71 |
3137.34 |
3137.34 |
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3137.34 |
3137.34 |
(3)社会补助 |
90.00 |
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1.00 |
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883.38 |
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974.38 |
974.38 |
974.38 |
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974.38 |
974.38 |
(4)其他
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1564.30 |
282.10 |
326.20 |
326.20 |
453.12 |
544.20 |
597.10 |
2142.70 |
2940.72 |
3295.20 |
386.10 |
31.62 |
3326.82 |
3326.82 |
8.可支配总收入
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10605.09 |
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472.27 |
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13555.87 |
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52688.56 |
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77321.79 |
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77321.79 |
9.最终消费 |
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9484.80 |
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36921.20 |
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46406.00 |
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46406.00 |
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(1)居民消费 |
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36921.20 |
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36921.20 |
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36921.20 |
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(2)政府消费 |
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9484.80 |
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9484.80 |
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9484.80 |
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10.总储蓄 |
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10605.09 |
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472.27 |
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4071.07 |
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15767.36 |
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30915.79 |
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-2027.99 |
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28887.80 |
11.资本转移 |
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2133.05 |
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1.00 |
2134.05 |
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3.89 |
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2137.94 |
2134.05 |
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3.89 |
2137.94 |
2137.94 |
(1)投资性补助
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(2)其他 |
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12.资本形成总额
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22201.66 |
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188.16 |
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2721.71 |
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4434.37 |
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29545.90 |
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29545.90 |
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(1)固定资本形成总额 |
20976.56 |
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188.16 |
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2721.71 |
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3744.37 |
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27630.80 |
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27630.80 |
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(2)存货增加 |
1225.10 |
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690.00 |
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1915.10 |
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1915.10 |
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13.其他非金融资产 |
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获得减处置 |
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14.净金融投资 |
-9463.52 |
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285.11 |
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-784.69 |
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11329.10 |
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1366.00 |
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-2024.10 |
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-658.10 |
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15.统计误差 |
1016.94 |
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-7.96 |
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-313.24 |
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297.06 |
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992.80 |
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-334.71 |
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658.09 |
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16.净金融投资 |
-8446.58 |
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277.15 |
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-1097.93 |
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11626.16 |
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2358.80 |
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-2358.81 |
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-0.01 |
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