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首页 公告 申万宏源:2024年半年度财务报告

申万宏源:2024年半年度财务报告

公告日期:2024-08-31

申万宏源:2024年半年度财务报告 PDF查看PDF原文

    申万宏源集团股份有限公司

截至 2024 年 6 月 30 日止 6 个月期间

  财务报表 (未经审计) 及审阅报告


                                    审阅报告

                                                                          毕马威华振专字第 2403205 号
申万宏源集团股份有限公司全体股东:

  我们审阅了后附的申万宏源集团股份有限公司 (以下简称“申万宏源集团”) 的中期财务报
表,包括 2024 年 6 月 30 日的合并及母公司资产负债表,截至 2024 年 6 月 30 日止 6 个月期
间的合并及母公司利润表、合并及母公司股东权益变动表和合并及母公司现金流量表以及相关中期财务报表附注。按照中华人民共和国财政部颁布的《企业会计准则第 32 号——中期财务报告》的规定编制中期财务报表是申万宏源集团管理层的责任,我们的责任是在实施审阅工作的基础上对这些财务报表出具审阅报告。

  我们按照《中国注册会计师审阅准则第 2101 号——财务报表审阅》的规定执行了审阅业务。该准则要求我们计划和实施审阅工作,以对中期财务报表是否不存在重大错报获取有限保证。审阅主要限于询问申万宏源集团有关人员和对财务数据实施分析程序,提供的保证程度低于审计。我们没有实施审计,因而不发表审计意见。


                                  审阅报告(续)

                                                                          毕马威华振专字第 2403205 号
  根据我们的审阅,我们没有注意到任何事项使我们相信申万宏源集团中期财务报表没有在所有重大方面按照《企业会计准则第 32 号——中期财务报告》的规定编制。

  毕马威华振会计师事务所                    中国注册会计师

    (特殊普通合伙)

                                              黄小熠

  中国北京                                  虞京京

                                              2024 年 8 月 30 日


                                  合并资产负债表

                                2024 年 6 月 30 日

                        (除特别注明外,金额单位为人民币元)

                                                            本集团

                                                        2024 年            2023 年
                                    附注六          6 月 30 日        12 月 31 日
                                                    (未经审计)          (经审计)
资产

货币资金                                1    96,103,300,083.72 110,939,833,882.65
  其中:客户存款                            68,095,595,186.97  77,486,578,121.97
结算备付金                              2    18,682,262,856.06  20,459,860,014.89
  其中:客户备付金                          8,886,133,952.58  8,124,181,880.07
融出资金                                3    59,163,168,649.67  64,428,205,336.18
衍生金融资产                            4    14,666,555,580.76  10,207,378,128.88
存出保证金                              5    22,350,090,381.66  22,812,201,886.48
应收款项                                6      7,654,306,003.02  6,167,987,413.02
买入返售金融资产                        7    11,716,938,324.77  4,614,564,139.00
金融投资:

  交易性金融资产                      8  232,792,036,301.60 236,488,163,809.70
  债权投资                            9      3,748,905,216.19  3,517,258,851.59
  其他债权投资                      10    60,336,235,747.39  73,398,915,233.35
  其他权益工具投资                  11    68,712,334,646.25  70,593,727,251.98
长期股权投资                          13    3,980,856,948.29  4,076,754,912.11
投资性房地产                          14        41,251,664.85      43,494,490.68
固定资产                              15    1,174,335,432.43  1,213,350,770.35
在建工程                              16      208,693,781.95    216,628,612.16
使用权资产                            17      906,380,850.68    994,630,439.84
无形资产                              18      358,521,134.69    311,593,134.48
递延所得税资产                        19    2,112,659,460.58  2,739,570,064.38
其他资产                              20    2,677,198,466.86  2,213,299,724.74
资产总计                                    607,386,031,531.42 635,437,418,096.46
后附财务报表附注为本财务报表的组成部分。


                                合并资产负债表 (续)

                                2024 年 6 月 30 日

                        (除特别注明外,金额单位为人民币元)

                                                            本集团

                                                        2024 年            2023 年
                                    附注六          6 月 30 日        12 月 31 日
                                                    (未经审计)          (经审计)
负债

  短期借款                          22      616,000,097.12    835,592,442.12
  应付短期融资款                    23    33,313,531,872.06  28,055,960,610.30
  拆入资金                          24    2,974,983,543.82  2,440,853,868.61
  交易性金融负债                    25    9,666,918,551.55  5,694,306,280.79
  衍生金融负债                        4      6,391,506,999.48  6,185,560,498.34
  卖出回购金融资产款                26  138,899,296,273.96 163,215,332,852.98
  代理买卖证券款                    27    88,472,399,851.50  96,870,504,341.28
  代理承销证券款                                27,148,293.68  -

  应付职工薪酬                      28    4,898,429,601.69  5,759,431,398.95
  应交税费                          29      277,561,237.02    382,729,192.47
  应付款项                          30    41,996,433,096.01  41,700,063,016.22
  应付债券                          31  126,551,885,960.59 137,228,904,790.73
  租赁负债                          32      934,650,856.46  1,015,512,533.28
  递延所得税负债                    19        71,663,230.02      30,526,535.42
  合同负债                          33        79,293,163.98      48,115,103.92
  预计负债                                        153,781.87        161,457.84
  其他负债                          34    22,031,971,872.24  17,179,728,950.84
负债合计                                    477,203,828,283.05 506,643,283,874.09
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