[{"序號":"1","年度":"2017","項目":"賸餘之部-本期賸餘","預算金額":"27987516000 ","說明":""},{"序號":"2","年度":"2017","項目":"賸餘之部-前期未分配賸餘","預算金額":"71925626000 ","說明":""},{"序號":"3","年度":"2017","項目":"分配之部-本年度分配收益數","預算金額":"16883477000 ","說明":"本年度預算基金平均餘額739,275,983千元乘以預計保證收益率0.78177%(即5,779,438千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即11,104,039千元)。"},{"序號":"4","年度":"2018","項目":"本期賸餘","預算金額":"29416510000 ","說明":""},{"序號":"5","年度":"2018","項目":"前期未分配賸餘","預算金額":"96564689000 ","說明":""},{"序號":"6","年度":"2018","項目":"分配之部-本年度分配收益數","預算金額":"17230133000 ","說明":"本年度預算基金平均餘額785,534,032千元乘以預計保證收益率0.64208%(即5,043,757千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即12,186,376千元)。"},{"序號":"7","年度":"2019","項目":"本期賸餘","預算金額":"30341625000 ","說明":""},{"序號":"8","年度":"2019","項目":"前期未分配賸餘","預算金額":"126376329000 ","說明":""},{"序號":"9","年度":"2019","項目":"分配之部-本年度分配收益數","預算金額":"17760564000 ","說明":"本年度預算基金平均餘額806,675,813千元乘以預計保證收益率0.64208%(即5,179,504千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即12,581,060千元)。"},{"序號":"10","年度":"2020","項目":"本期賸餘","預算金額":"31162504000 ","說明":""},{"序號":"11","年度":"2020","項目":"前期未分配賸餘","預算金額":"71700967000 ","說明":""},{"序號":"12","年度":"2020","項目":"分配之部-本年度分配收益數","預算金額":"18273343000 ","說明":"本年度預算基金平均餘額838,553,232千元乘以預計保證收益率0.64208%(即5,384,183千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即12,889,160千元)。"},{"序號":"13","年度":"2021","項目":"本期賸餘","預算金額":"30924487000 ","說明":""},{"序號":"14","年度":"2021","項目":"前期未分配賸餘","預算金額":"150821695000 ","說明":""},{"序號":"15","年度":"2021","項目":"分配之部-本年度分配收益數","預算金額":"18180049000 ","說明":"本年度預算基金平均餘額846,563,121千元乘以預計保證收益率0.64208%(即5,435,612千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即12,744,437千元)。"},{"序號":"16","年度":"2022","項目":"本期賸餘","預算金額":"27361261000 ","說明":""},{"序號":"17","年度":"2022","項目":"前期未分配賸餘","預算金額":"207338275000 ","說明":""},{"序號":"18","年度":"2022","項目":"分配之部-本年度分配收益數","預算金額":"15550470000 ","說明":"本年度預算基金平均餘額779,782,287千元乘以預計保證收益率0.47958%(即3,739,680千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即11,810,790千元)。"},{"序號":"19","年度":"2023","項目":"本期賸餘","預算金額":"27782280000 ","說明":""},{"序號":"20","年度":"2023","項目":"前期未分配賸餘","預算金額":"230892329000 ","說明":""},{"序號":"21","年度":"2023","項目":"分配之部-本期分配收益數","預算金額":"16490248000 ","說明":"本年度預算基金平均餘額809,590,286千元乘以預計保證收益率0.64208%(即5,198,217千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即11,292,031千元)。"},{"序號":"22","年度":"2024","項目":"本期賸餘","預算金額":"26348699000 ","說明":""},{"序號":"23","年度":"2024","項目":"前期未分配賸餘","預算金額":"145010569000 ","說明":""},{"序號":"24","年度":"2024","項目":"分配之部-本期分配收益數","預算金額":"17280606000 ","說明":"本年度預算基金平均餘額801,220,776千元乘以預計保證收益率1.02500%(即8,212,513千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即9,068,093千元)。"},{"序號":"25","年度":"2025","項目":"本期賸餘","預算金額":"28026622000 ","說明":""},{"序號":"26","年度":"2025","項目":"前期未分配賸餘","預算金額":"183289350000 ","說明":""},{"序號":"27","年度":"2025","項目":"分配之部-本期分配收益數","預算金額":"18891133000 ","說明":"本年度預算基金平均餘額848,316,959千元乘以預計保證收益率1.15000%(即9,755,645千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即9,135,488千元)。"},{"序號":"28","年度":"2026","項目":"本期賸餘","預算金額":"29299718000 ","說明":""},{"序號":"29","年度":"2026","項目":"前期未分配賸餘","預算金額":"277771624000 ","說明":""},{"序號":"30","年度":"2026","項目":"分配之部-本期分配收益數","預算金額":"20260738000 ","說明":"本年度預算基金平均餘額881,292,285千元乘以預計保證收益率1.27333%(即11,221,759千元)及本期賸餘超過保證收益數之半數再分配予事業單位(即9,038,979千元)。"}]