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000776 深市 广发证券


首页 公告 广发证券:2024年半年度财务报告

广发证券:2024年半年度财务报告

公告日期:2024-08-31

广发证券:2024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○二四年半年度财务报告

    (2024 年 6 月 30 日止,未经审计)

            二○二四年八月


                                        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 – 122
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    2024 年 6 月 30 日      2023 年 12 月 31 日      2024 年 6 月 30 日      2023 年 12 月 31 日
 货币资金                1      126,380,380,091.55    118,815,210,608.15      81,210,384,385.63        78,406,386,333.90
 其中:客户资金存款      1      102,548,220,900.36      94,838,673,037.65      69,873,052,415.92        66,929,122,732.96
 结算备付金              2      31,683,448,582.53      34,510,389,022.86      33,625,675,429.49        38,142,183,985.42
 其中:客户备付金        2      25,837,073,857.72      29,647,708,025.94      21,874,628,949.77        27,273,262,995.30
 融出资金                3      84,951,572,163.37      91,107,898,364.20      83,938,213,199.95        89,868,554,957.07
 衍生金融资产            4        6,951,029,525.77      5,034,080,928.93      7,306,243,064.17        5,295,249,256.50
 存出保证金              5      18,871,665,536.02      21,252,800,724.27      2,393,570,582.47        2,270,061,362.82
 应收款项                6      12,714,053,231.31      11,148,893,723.83      7,636,561,195.76        7,487,683,763.57
 买入返售金融资产        7      19,320,755,853.73      19,720,900,627.78      15,935,597,746.18        17,287,149,191.34
 金融投资:                      368,815,657,497.65    361,196,132,493.73    321,114,515,215.85      313,623,700,138.05
  交易性金融资产        8      255,313,151,831.92    216,074,348,976.05    209,737,782,093.65      170,371,778,869.63
  债权投资              9          79,517,655.27        129,711,575.06          2,854,086.86            7,918,460.97
  其他债权投资        10      99,315,091,110.71    139,295,121,080.44      97,309,987,678.16      137,590,703,213.07
  其他权益工具投资    11      14,107,896,899.75      5,696,950,862.18      14,063,891,357.18        5,653,299,594.38
 长期股权投资          12      10,122,609,376.02      9,225,272,376.15      26,612,443,850.97        25,205,660,548.32
 投资性房地产          13          191,035,479.48        199,156,711.62        170,004,833.96          170,709,214.17
 固定资产              14        2,880,076,816.25      2,847,155,296.28      2,563,225,936.18        2,589,322,335.71
 在建工程              15          246,301,316.80        246,301,316.80                      -                        -
 使用权资产            16          957,628,167.79        947,936,034.02        667,109,882.00          655,481,745.99
 无形资产              17        1,543,173,201.05      1,596,931,341.53        683,331,062.37          719,367,869.65
 商誉                  18            2,368,473.15          2,351,605.53                      -                        -
 递延所得税资产        19        2,242,153,682.10      2,562,495,294.92        552,371,763.83        1,126,937,275.08
 其他资产              20        1,454,081,135.91      1,767,772,757.81      1,133,913,366.58        1,759,823,985.69
 资产总计                          689,327,990,130.48    682,181,679,228.41    585,543,161,515.39      584,608,271,963.28
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      2024 年 6 月 30 日    2023 年 12 月 31 日      2024 年 6 月 30 日      2023 年 12 月 31 日
  短期借款                  23      5,408,539,919.76      6,838,049,471.57                    -                      -
  应付短期融资款            24      39,758,402,977.19    45,363,288,486.64    39,758,402,977.19      45,363,288,486.64
  拆入资金                  25      43,010,273,043.38    22,653,003,311.65    38,080,587,387.95      17,217,989,084.53
  交易性金融负债            26      10,104,010,765.14    17,609,062,491.86      5,504,475,362.57      12,121,582,409.66
  衍生金融负债              4        8,771,263,465.71      4,700,925,321.20      8,897,949,719.10        4,885,824,617.88
  卖出回购金融资产款        27    130,086,694,882.01    153,748,802,389.89    122,927,262,292.80      147,908,599,336.82
  代理买卖证券款            28    136,507,154,897.96    132,010,529,184.67    90,066,350,699.07      91,538,463,923.97
  应付职工薪酬              29      8,479,863,493.06      9,496,302,672.60      3,929,879,577.23        4,925,451,170.63
  应交税费                  30        711,170,571.75        555,578,626.21        337,057,789.03          178,421,701.19
  应付款项                  31      34,470,807,200.99    37,138,281,731.71    34,816,350,372.91      36,917,244,098.23
  合同负债                                87,462,966.11        115,858,834.54        52,59
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