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首页 公告 广发证券:2022年半年度财务报告

广发证券:2022年半年度财务报告

公告日期:2022-08-31

广发证券:2022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○二二年半年度财务报告

    (2022 年 06 月 30 日止,未经审计)

            二○二二年八月


                                        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 – 118
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)

                      附注                  合并                                      母公司

资产                    七    2022 年 06 月 30 日      2021 年 12 月 31 日        2022 年 06 月 30 日      2021 年 12 月 31 日
货币资金                1    133,993,365,832.15      119,312,819,547.30        96,324,280,764.33      86,438,516,642.75
  其中:客户资金存款    1    115,655,052,956.15        97,496,872,498.95        89,762,067,072.97      75,942,691,900.21
结算备付金              2      25,289,523,784.00        27,694,380,825.97        24,841,797,702.24      26,723,108,688.93
  其中:客户备付金      2      20,546,991,595.60        23,147,026,006.96        17,978,511,450.90      20,460,927,297.75
融出资金                3      85,612,000,846.41        97,230,767,936.97        83,551,407,890.62      94,302,245,387.65
衍生金融资产            4      1,955,575,466.90          564,492,711.12          2,099,178,382.08        658,441,889.45
存出保证金              5      16,518,954,678.44        12,495,112,880.09          3,784,614,841.59        1,839,092,015.02
应收款项                6      5,624,074,874.30        4,892,762,994.80          3,219,693,053.89        2,307,177,241.39
合同资产                              15,000,000.00                        -            15,000,000.00                      -
买入返售金融资产        7      17,311,912,936.59        19,992,231,758.14        15,851,905,224.00      19,425,549,086.38
金融投资:                      274,153,958,273.83      235,925,189,193.64        237,325,104,943.50    202,105,894,531.20
 交易性金融资产        8    164,150,956,941.73      124,472,613,744.26        127,553,746,382.31      90,791,982,405.54
 债权投资              9        154,477,229.10          104,687,035.14            51,717,649.87          43,570,865.37
 其他债权投资          10    109,135,727,067.22      110,475,096,064.92        109,045,950,912.08    110,435,961,889.76
 其他权益工具投资      11        712,797,035.78          872,792,349.32          673,689,999.24        834,379,370.53
长期股权投资            12      8,045,294,938.53        8,248,418,382.40        25,103,805,222.23      24,490,310,352.47
投资性房地产            13        192,202,633.02          60,741,683.30          168,443,687.54          36,300,662.83
固定资产                14      2,792,637,187.71        2,966,918,586.37          2,603,581,613.50        2,782,193,920.25
在建工程                15        246,301,316.80                        -                        -                      -
使用权资产              16        812,751,316.89          817,790,743.99          591,363,070.31        582,296,097.91
无形资产                17      1,457,828,202.35        1,489,981,718.99          601,306,730.44        623,697,012.25
商誉                    18          2,219,259.60            2,121,686.91                        -                      -
递延所得税资产          19      2,266,978,583.47        2,118,831,597.59          1,218,708,849.47        1,192,622,555.28
其他资产                20      4,732,745,788.18        2,042,761,728.12          4,742,419,617.25        604,792,861.39
资产总计                        581,023,325,919.17      535,855,323,975.70        502,042,611,592.99    464,112,238,945.15
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    2022 年 06 月 30 日      2021 年 12 月 31 日    2022 年 06 月 30 日      2021 年 12 月 31 日
 短期借款                  23      1,573,062,000.96        916,545,300.84                      -                      -
 应付短期融资款            24    39,914,332,470.76      27,876,759,511.95      39,914,332,470.76      27,876,759,511.95
 拆入资金                  25    10,991,137,053.28      11,617,488,374.80        8,773,680,199.47      9,817,835,501.16
 交易性金融负债            26    11,936,274,098.26      10,823,403,287.06        5,958,275,425.04      6,122,189,689.42
 衍生金融负债              4      2,086,730,084.36        981,098,535.88        2,909,550,316.36      1,205,985,379.29
 卖出回购金融资产款        27    114,971,451,768.58      81,230,199,850.97      112,021,338,479.09      79,724,867,108.13
 代理买卖证券款            28    144,970,625,700.09    126,731,097,494.51    107,745,175,535.60      95,145,283,895.13
 应付职工薪酬              29      8,584,798,402.35      10,118,479,443.39        4,917,400,720.24      6,374,390,468.39
 应交税费                  30        634,300,262.88        1,645,142,280.68        328,658,607.04        768,050,248.47
 应付款项                 
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