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宁波银行:年报财务报表

公告日期:2021-04-10

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宁波银行股份有限公司
合并资产负债表

2020 年 12 月 31 日                                      人民币百万元

资产                                附注五    2020年12月31日    2019年12月31日
现金及存放中央银行款项                1              102,498              93,556
存放同业款项                          2              20,040              15,409
贵金属                                                23,171              12,516
拆出资金                              3                3,300              3,596
衍生金融资产                          4              32,942              20,260
买入返售金融资产                      5                  626              17,259
发放贷款及垫款                        6              663,447            510,039
金融投资:                            7

  交易性金融资产                                      305,630            248,892
  债权投资                                            216,399            183,392
  其他债权投资                                        236,712            197,149
  其他权益工具投资                                        111                  98
投资性房地产                          8                  39                  39
固定资产                              9                7,276              6,448
无形资产                              10                1,199                381
在建工程                              11                  317              1,324
递延所得税资产                        12                7,393              4,858
其他资产                              13                5,649              2,501
资产总计                                            1,626,749          1,317,717
宁波银行股份有限公司
合并资产负债表(续)

2020 年 12 月 31 日                                      人民币百万元

负债                                附注五    2020年12月31日    2019年12月31日
向中央银行借款                        15              83,623              30,491
同业及其他金融机构存放款项            16              108,073              35,697
拆入资金                              17              68,434              35,962
交易性金融负债                        18              19,092              10,881
衍生金融负债                          4              36,257              20,368
卖出回购金融资产款                    19              29,924              62,694
吸收存款                              20              933,164            779,224
应付职工薪酬                          21                2,545              2,430
应交税费                              22                3,970              3,324
预计负债                              23                2,822              2,123
应付债券                              24              187,443            212,886
其他负债                              25              32,409              20,901
负债合计                                            1,507,756          1,216,981
股东权益

股本                                  26                6,008              5,628
其他权益工具                          27              14,810              14,810
  其中:优先股                                        14,810              14,810
资本公积                              28              26,403              18,785
其他综合收益                          29                1,100              2,220
盈余公积                              30                8,632              7,250
一般风险准备                          31              13,608              10,921
未分配利润                            32              47,919              40,695
归属于母公司股东的权益                                118,480            100,309
少数股东权益                                              513                427
股东权益合计                                          118,993            100,736
负债及股东权益总计                                  1,626,749          1,317,717
宁波银行股份有限公司
合并利润表

2020 年度                                                人民币百万元

                                    附注五          2020年度            2019年度
一、 营业收入                                          41,111              35,082
    利息净收入                      33              27,859              22,238
      利息收入                      33              56,789              47,828
      利息支出                      33              (28,930)            (25,590)
    手续费及佣金净收入              34                6,342              5,110
      手续费及佣金收入              34                7,315              5,807
      手续费及佣金支出              34                (973)                (697)
    投资收益                        35                9,180              6,541
    其他收益                        36                  121                  40
    公允价值变动损益                37              (1,303)              2,016
    汇兑损益                        38              (1,184)                (904)
    其他业务收入                                          24                  36
    资产处置收益                                          72                  5
二、 营业支出                                          (24,611)            (19,792)
    税金及附加                      39                (332)                (257)
    业务及管理费                    40              (15,609)            (12,038)
    信用减值损失                    41              (8,667)              (7,461)
    
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