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首页 公告 广发证券:二〇二一年半年度财务报告

广发证券:二〇二一年半年度财务报告

公告日期:2021-08-28

广发证券:二〇二一年半年度财务报告 PDF查看PDF原文

    广发证券股份有限公司
(A 股股票代码:000776 H 股股票代码:1776)

  二○二一年半年度财务报告

    (2021 年 6 月 30 日止,未经审计)

            二○二一年八月


                                        目 录

                                                                        页 次
合并及母公司资产负债表                                                  2 – 3
合并及母公司利润表                                                        4
合并及母公司现金流量表                                                    5
合并及母公司股东权益变动表                                              6 – 7
财务报表附注                                                          8 – 114
合并及母公司资产负债表(未经审计)
(除特别注明外,金额单位均为人民币元)

                          附                    合并                                    母公司

                          注

资产                      七    2021 年 06 月 30 日      2020 年 12 月 31 日      2021 年 06 月 30 日      2020 年 12 月 31 日
货币资金                  1    121,160,204,695.25      102,766,203,793.40      92,319,619,640.71      76,971,739,252.40
  其中:客户资金存款      1      97,432,074,744.60      80,469,716,671.84      78,955,316,511.62      65,694,562,526.39
结算备付金                2      18,468,167,005.71      20,515,405,015.87      16,040,445,142.14      17,810,459,659.73
  其中:客户备付金        2      13,520,846,799.56      16,705,044,776.35      10,943,293,928.98      13,862,772,728.28
融出资金                  3      93,678,988,012.60      86,152,816,489.88      90,368,816,725.74      83,472,356,774.72
衍生金融资产              4        335,030,723.65          203,365,893.79        404,135,062.15        157,485,777.60
存出保证金                5      11,801,832,314.78      11,045,545,569.66      3,089,362,476.27        3,135,440,179.25
应收款项                  6      7,386,525,123.22        3,404,173,075.26      2,192,312,462.26        1,217,618,780.43
买入返售金融资产          7      17,820,480,030.73      16,793,849,178.49      17,527,886,037.17      16,707,774,462.33
金融投资:                          217,852,976,607.61      200,012,432,358.05    187,435,567,181.13      171,035,419,039.86
 交易性金融资产          8    102,237,060,950.14      67,742,658,988.28      72,390,632,203.66      39,837,713,746.66
 债权投资                9        211,552,483.23          462,314,931.30          72,331,469.43        301,381,895.05
 其他债权投资            10    114,634,578,502.96      120,182,380,523.61    114,251,692,898.53      119,319,241,019.01
 其他权益工具投资        11        769,784,671.28      11,625,077,914.86        720,910,609.51      11,577,082,379.14
长期股权投资              12      7,784,101,084.44        7,196,883,172.97      21,939,267,404.21      20,910,445,580.70
投资性房地产              13          40,848,366.30          42,398,568.93          15,725,270.84          16,593,398.48
固定资产                  14      2,945,957,939.00        3,046,292,695.42      2,762,005,437.11        2,855,766,035.16
使用权资产                15        775,331,763.17          644,569,300.44        588,589,535.02        527,717,591.28
无形资产                  16      1,411,316,170.67        1,453,854,036.08        541,450,066.67        569,848,231.16
商誉                      17          2,159,314.68            2,183,967.35                      -                      -
递延所得税资产            18      1,823,148,327.02        1,323,839,777.48      1,231,853,636.60        836,530,321.72
其他资产                  19      2,364,499,083.72        2,859,873,367.73      1,381,741,477.57        694,320,585.42
资产总计                            505,651,566,562.55      457,463,686,260.80    437,838,777,555.59      396,919,515,670.24
合并及母公司资产负债表(续)(未经审计)
(除特别注明外,金额单位均为人民币元)

                          附注                  合并                                    母公司

 负债                    七    2021 年 06 月 30 日      2020 年 12 月 31 日      2021 年 06 月 30 日      2020 年 12 月 31 日
 短期借款                22      5,321,379,089.78        2,552,786,232.22                      -                      -
 应付短期融资款          23    35,305,853,192.37      35,008,179,142.44      35,305,853,192.37      35,008,179,142.44
 拆入资金                24    10,555,581,500.16        6,121,286,327.28        9,838,214,805.61        4,010,666,486.13
 交易性金融负债          25      8,398,567,383.45        5,565,326,695.14        4,892,809,528.44        2,185,323,508.78
 衍生金融负债              4        828,728,543.71          214,987,397.85          851,181,589.31          204,091,552.93
 卖出回购金融资产款      26    99,107,736,211.33      94,611,621,269.89      97,677,191,825.15      92,653,144,048.43
 代理买卖证券款          27    118,512,209,390.37      102,941,104,908.51      90,199,264,223.36      77,855,516,190.51
 应付职工薪酬            28      8,312,558,727.37        8,130,420,712.53        5,355,258,512.35        5,248,336,655.25
 应交税费                29      1,559,589,797.12        1,346,119,814.41        1,028,157,678.26          787,562,473.73
 应付款项                30      5,623,093,990.93        2,605,234,720.49        4,712,957,895.71        2,307,785,015.64
 合同负债                                60,271,974.83          47,0
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