{"success":true,"updateTime":"20260130T083246","result":{"resource_id":"A17000000J-030529-lRD","records":[{"序號":"1","年度":"2015","項目":"本期賸餘-作業賸餘","預算金額":"56929100000 ","說明":"本年度預算數除以基金平均餘額1兆3,408億元，折合基金預計運用淨期望收益率為4.25%。"},{"序號":"10","年度":"2017","項目":"本期賸餘-作業外賸餘-滯納金","預算金額":"518411000 ","說明":""},{"序號":"11","年度":"2017","項目":"前期未分配賸餘-累積餘絀-滯納金","預算金額":"3242137000 ","說明":""},{"序號":"12","年度":"2017","項目":"分配之部-賸餘撥充基金數","預算金額":"75112490000 ","說明":""},{"序號":"13","年度":"2018","項目":"本期賸餘-業務賸餘","預算金額":"81624813000 ","說明":"本年度預算數除以基金平均餘額2兆130億1,000萬元，折合基金預計運用淨期望收益率為4.05%。"},{"序號":"14","年度":"2018","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"574454000 ","說明":""},{"序號":"15","年度":"2018","項目":"前期未分配賸餘-累積餘絀","預算金額":"3807194000 ","說明":""},{"序號":"16","年度":"2018","項目":"分配之部-賸餘撥充基金數","預算金額":"81624813000 ","說明":""},{"序號":"17","年度":"2019","項目":"本期賸餘-業務賸餘","預算金額":"91598270000 ","說明":"本年度預算數除以基金平均餘額2兆2,283億1,600萬元，折合基金預計運用淨期望收益率為4.10%。"},{"序號":"18","年度":"2019","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"668479000 ","說明":""},{"序號":"19","年度":"2019","項目":"前期未分配賸餘-累積餘絀","預算金額":"4501164000 ","說明":""},{"序號":"2","年度":"2015","項目":"本期賸餘-作業外賸餘-滯納金","預算金額":"520383000 ","說明":""},{"序號":"20","年度":"2019","項目":"分配之部-賸餘撥充基金數","預算金額":"91598270000 ","說明":""},{"序號":"21","年度":"2020","項目":"本期賸餘-業務賸餘","預算金額":"103374658000 ","說明":"本年度預算數除以基金平均餘額2兆5,505億7,400萬元，折合基金預計運用淨期望收益率為4.05%。"},{"序號":"22","年度":"2020","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"746547000 ","說明":""},{"序號":"23","年度":"2020","項目":"前期未分配賸餘-累積餘絀","預算金額":"5317925000 ","說明":""},{"序號":"24","年度":"2020","項目":"分配之部-賸餘撥充基金數","預算金額":"103374658000 ","說明":""},{"序號":"25","年度":"2021","項目":"本期賸餘-業務賸餘","預算金額":"114132739000 ","說明":"本年度預算數除以基金平均餘額2兆8,273億2,800萬元，折合基金預計運用淨期望收益率為4.03%。"},{"序號":"26","年度":"2021","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"866650000 ","說明":""},{"序號":"27","年度":"2021","項目":"前期未分配賸餘-累積餘絀","預算金額":"6180845000 ","說明":""},{"序號":"28","年度":"2021","項目":"分配之部-賸餘撥充基金數","預算金額":"114132739000 ","說明":""},{"序號":"29","年度":"2022","項目":"本期賸餘-業務賸餘","預算金額":"122473292000 ","說明":"本年度預算數除以基金平均餘額3兆1,407億6,400萬元，折合基金預計運用淨期望收益率為3.89%。"},{"序號":"3","年度":"2015","項目":"前期未分配賸餘-累積餘絀-滯納金","預算金額":"2377710000 ","說明":""},{"序號":"30","年度":"2022","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"875238000 ","說明":""},{"序號":"31","年度":"2022","項目":"前期未分配賸餘-累積餘絀","預算金額":"6867957000 ","說明":""},{"序號":"32","年度":"2022","項目":"分配之部-賸餘撥充基金數","預算金額":"122473292000 ","說明":""},{"序號":"33","年度":"2023","項目":"本期賸餘-業務賸餘","預算金額":"138664824000 ","說明":"本年度預算數除以基金平均餘額3兆6,063億3,500萬元，折合基金預計運用淨期望收益率為3.84%。"},{"序號":"34","年度":"2023","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"906989000 ","說明":""},{"序號":"35","年度":"2023","項目":"前期未分配賸餘-累積餘絀","預算金額":"7632532000 ","說明":""},{"序號":"36","年度":"2023","項目":"分配之部-賸餘撥充基金數","預算金額":"138664824000 ","說明":""},{"序號":"37","年度":"2024","項目":"本期賸餘-業務賸餘","預算金額":"159802206000 ","說明":"本年度預算數除以基金平均餘額4兆743億2,200萬元，折合基金預計運用淨期望收益率為3.91%。"},{"序號":"38","年度":"2024","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"914819000 ","說明":""},{"序號":"39","年度":"2024","項目":"前期未分配賸餘-累積餘絀","預算金額":"8472053000 ","說明":""},{"序號":"4","年度":"2015","項目":"分配之部-賸餘撥充基金數","預算金額":"56929100000 ","說明":""},{"序號":"40","年度":"2024","項目":"分配之部-賸餘撥充基金數","預算金額":"159802206000 ","說明":""},{"序號":"41","年度":"2025","項目":"本期賸餘-業務賸餘","預算金額":"163363909000 ","說明":"本年度預算數除以基金平均餘額4兆4,759億1,600萬元，折合基金預計運用淨期望收益率為3.64%。"},{"序號":"42","年度":"2025","項目":"本期賸餘-業務外賸餘-滯納金","預算金額":"931465000 ","說明":""},{"序號":"43","年度":"2025","項目":"前期未分配賸餘-累積餘絀","預算金額":"9373450000 ","說明":""},{"序號":"44","年度":"2025","項目":"分配之部-賸餘撥充基金數","預算金額":"163363909000 ","說明":""},{"序號":"5","年度":"2016","項目":"本期賸餘-作業賸餘","預算金額":"68457383000 ","說明":"本年度預算數除以基金平均餘額1兆5,925億8,600萬元，折合基金預計運用淨期望收益率為4.29%。"},{"序號":"6","年度":"2016","項目":"本期賸餘-作業外賸餘-滯納金","預算金額":"486967000 ","說明":""},{"序號":"7","年度":"2016","項目":"前期未分配賸餘-累積餘絀-滯納金","預算金額":"2807116000 ","說明":""},{"序號":"8","年度":"2016","項目":"分配之部-賸餘撥充基金數","預算金額":"68457383000 ","說明":""},{"序號":"9","年度":"2017","項目":"本期賸餘-作業賸餘","預算金額":"75112490000 ","說明":"本年度預算數除以基金平均餘額1兆8,220億4,100萬元，折合基金預計運用淨期望收益率為4.12%。"}]}}