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山西证券:2024年半年度财务报告

公告日期:2024-08-28

山西证券股份有限公司
2024 年半年度财务报告

        2024 年 08 月


                              山西证券股份有限公司

                        合并及母公司资产负债表(未经审计)

                                2024 年 6 月 30 日

                              (金额单位:人民币元)

                                                      本集团                              本公司

                                                  2024 年          2023 年          2024 年          2023 年
                                附注            6 月 30 日        12 月 31 日        6 月 30 日        12 月 31 日
资产

  货币资金                      五 1      23,013,680,414    22,219,704,728    16,976,910,605    14,503,216,743
    其中:客户存款                        14,697,344,219    14,074,037,282    9,817,061,714    9,151,144,727
  结算备付金                    五 2        2,690,877,730    2,635,063,238    2,848,967,429    2,628,067,054
    其中:客户备付金                          587,316,110      572,609,778      475,380,926      527,954,274
  融出资金                      五 3        5,962,380,599    6,764,360,676    5,938,276,200    6,734,948,643
  衍生金融资产                  五 4          204,203,427      171,766,410      196,093,611      149,548,103
  买入返售金融资产              五 5        3,888,573,079    1,916,241,389    3,831,579,079    1,877,777,871
  应收款项                  五 6,十八 1      120,362,962      120,309,332        93,963,766        92,600,783
  存出保证金                    五 7        3,727,619,478    4,229,434,331    1,197,718,479    1,405,469,194
  金融投资:                              37,058,198,073    37,276,438,415    33,223,649,431    34,976,864,064
    交易性金融资产              五 8      36,801,656,031    36,922,114,301    32,998,527,733    34,658,175,307
    债权投资                    五 9          28,284,069        29,141,162        28,284,069        29,141,162
    其他债权投资                五 10          55,501,404        89,867,451        55,501,404        89,867,451
    其他权益工具投资            五 11        172,756,569      235,315,501      141,336,225      199,680,144
  长期股权投资            七 3,十八 2      473,869,206      324,169,206    6,478,519,948    6,478,519,948
  固定资产                    五 12        365,014,200      386,834,025      331,498,301      350,148,047
  使用权资产                  五 13        281,845,451      310,141,621      183,151,345      193,266,471
  无形资产                    五 14        214,573,615      223,741,579      195,097,147      199,992,985
    其中:数据资源                                      -                -                -                -
  商誉                        五 15        476,939,901      476,939,901        49,096,844        49,096,844
  递延所得税资产              五 17        177,770,286      213,254,141        33,111,111        57,861,590
  其他资产                  五 16,十八 3      345,393,361      321,830,325      648,304,086      735,183,954
资产总计                                    79,001,301,782    77,590,229,317    72,225,937,382    70,432,562,294
此财务报表已于 2024 年 8 月 26 日获董事会批准。

王怡里                汤建雄                张立德                公司盖章

法定代表人            主管会计工作的        会计机构负责人

                      公司负责人

后附财务报表附注为本财务报表的组成部分


                              山西证券股份有限公司

                      合并及母公司资产负债表 (未经审计) (续)

                                2024 年 6 月 30 日

                              (金额单位:人民币元)

                                                      本集团                              本公司

                                                  2024 年          2023 年          2024 年          2023 年
                                附注            6 月 30 日        12 月 31 日        6 月 30 日        12 月 31 日
负债及股东权益
负债

  短期借款                    五 20        138,063,282      137,317,148                -                -
  应付短期融资款              五 21        568,333,884      872,573,450      532,726,183      837,208,563
  拆入资金                    五 22      11,833,987,879    12,793,602,454    11,833,987,879    12,793,602,454
  交易性金融负债              五 23        3,949,846,553    1,512,007,369    3,949,569,353    1,512,007,369
  衍生金融负债                  五 4          22,418,004      131,465,972        2,851,913        71,950,030
  卖出回购金融资产款            五 24      11,251,647,044    10,277,980,209    11,073,487,301    10,220,788,787
  代理买卖证券款              五 25      15,258,369,253    14,586,617,553    10,127,250,135    9,343,466,297
  代理承销证券款              五 26                    -      125,599,933                -                -
  应付职工薪酬                五 27          88,612,671        96,518,278        51,720,632        54,338,613
  应交税费                    五 28          26,237,759        79,650,672        (9,799,088)      35,154,947
  应付款项                    五 29        372,162,041      366,687,841      352,867,290      173,091,619
  应付债券                    五 30      15,277,262,968    15,809,101,530    15,269,498,814    15,802,023,405
  租赁负债                    五 31        305,987,973      317,169,527      201,446,473      204,597,828
  递延所得税负债              五 17        100,874,679      111,707,421                -                -
  其他负债