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长江证券:2024年半年度财务报告

公告日期:2024-08-28

长江证券:2024年半年度财务报告 PDF查看PDF原文
长江证券股份有限公司

      财务报告

      ( 2024年6月30日)


              合并及母公司资产负债表(未经审计)

编制单位:长江证券股份有限公司                                          2024年6月30日                                      单位:人民币元
              项目                    附注                        期末余额                                    年初余额

                                  合并  母公司          合并                母公司                合并                母公司

资产:

    货币资金                      八、1            41,959,335,867.34    36,631,564,268.13    42,349,522,071.26    36,448,046,608.10

      其中:客户资金存款          八、1            34,823,496,103.06    32,470,190,102.90    33,764,562,263.64    31,070,606,443.38

    结算备付金                    八、2            5,820,831,697.20      5,411,391,562.40      6,016,105,291.89      6,147,951,213.36

      其中:客户备付金            八、2            5,077,188,207.80      4,531,895,310.80      5,272,310,878.78      5,076,263,961.08

    拆出资金

    融出资金                      八、3            25,516,568,303.80    25,499,286,638.02    29,091,136,744.22    29,072,876,394.18

    衍生金融资产                  八、4            1,330,319,658.61      1,258,331,276.63        623,586,962.60        585,728,174.16

    存出保证金                    八、5            2,847,812,910.54        676,701,976.52      3,119,195,198.55      1,013,902,207.58

    应收款项                      八、6            1,652,358,091.80      1,435,613,116.57      1,485,256,683.17      1,376,239,759.98

    合同资产

    买入返售金融资产              八、7              363,062,184.63        291,753,372.76      1,375,196,531.20      1,267,164,995.16

  持有待售资产
  金融投资:

   交易性金融资产              八、8            28,838,608,011.83    22,304,988,459.70    32,945,269,949.68    25,426,922,588.22

   债权投资                    八、9

   其他债权投资                八、10            35,055,976,545.43    34,870,487,959.23    49,039,504,104.25    48,870,951,634.26

   其他权益工具投资            八、11                61,516,773.31        40,000,000.00        61,516,773.31        40,000,000.00

    长期股权投资                  八、12 十八、1    1,770,582,555.02      8,053,663,116.50      1,839,090,631.06      8,029,099,253.76

    投资性房地产                                            98,668.47            98,668.47            104,815.05            104,815.05

    固定资产                      八、13            1,123,863,541.81      1,102,558,430.83      1,166,056,935.82      1,140,779,739.34

    在建工程                      八、14                24,981,801.56        24,981,801.56          7,960,498.61          7,960,498.61

  使用权资产                    八、15              390,634,783.22        345,007,337.29        337,732,577.62        286,236,456.37

    无形资产                      八、16                81,415,807.68        66,526,630.00        99,812,714.20        81,902,171.64

      其中:数据资源

    商誉                          八、17                52,921,408.60                              52,921,408.60

    递延所得税资产                八、18              842,014,533.99        722,590,853.60      1,020,601,841.94        919,755,554.12

    其他资产                      八、19              107,962,411.86        77,764,178.60        98,866,192.45        64,234,346.22

            资产总计                              147,840,865,556.70    138,813,309,646.81  170,729,437,925.48  160,779,856,410.11

负债:

    短期借款

    应付短期融资款                八、23            2,843,246,960.76      2,843,246,960.76      3,094,164,973.13      3,094,164,973.13

    拆入资金                      八、24            8,852,389,622.22      8,852,389,622.22      7,002,672,763.93      7,002,672,763.93

  交易性金融负债                八、25              502,869,265.95                            1,042,455,749.19

    衍生金融负债                  八、4              308,654,536.38        256,715,294.23        206,191,816.35        187,522,601.83

    卖出回购金融资产款            八、26            18,158,700,750.39    18,132,035,734.25    34,665,297,970.48    34,556,103,093.61

    代理买卖证券款                八、27            41,765,967,286.87    37,052,889,892.41    40,903,166,228.61    36,229,914,083.62

    代理承销证券款                八、28                5,000,000.00

    应付职工薪酬                  八、29 十八、2    2,319,495,944.03      2,003,094,177.74      2,933,994,496.35      2,408,063,624.90

    应交税费                      八、30              114,761,176.44        77,126,392.36        205,999,951.37        173,869,896.39

    应付款项                      八、31            3,999,277,341.87      3,863,445,342.63      4,133,469,533.74      3,910,837,047.37

    合同负债                      八、32                58,962,861.16        25,315,859.74        56,742,690.07        34,861,474.06

  持有待售负债

    预计负债                                              147,619.05            147,619.05            147,619.05            147,619.05

    长期借款

    应付债券                      八、33            30,134,997,246.67    30,134,840,003.67    40,415,676,407.11    40,415,494,926.03

   其中:优先股
      永续债

  租赁负债                      八、34              392,042,672.67        344,825,781.38        335,196,120.61      
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