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山西证券:2022年半年度财务报告

公告日期:2022-08-29

山西证券:2022年半年度财务报告 PDF查看PDF原文
山西证券股份有限公司
2022 年半年度财务报告

        2022 年 08 月


                          合并及母公司资产负债表(未经审计)

                                2022 年 6 月 30 日

                                (金额单位:人民币元)

                                                        本集团                              本公司

                                                    2022 年            2021 年            2022 年            2021 年
                                附注            6 月 30 日        12 月 31 日          6 月 30 日        12 月 31 日
资产

  货币资金                      五 1      28,260,469,750    24,708,749,820    16,973,463,625    15,458,972,710
    其中:客户存款                          18,474,646,815    14,321,311,160      9,773,587,784      8,205,860,611
  结算备付金                    五 2        3,076,714,702      3,268,344,293      3,003,430,848      3,292,625,858
    其中:客户备付金                          763,843,053      803,585,435      691,058,934      699,793,809
  融出资金                      五 3        6,660,125,084      7,669,491,331      6,544,773,292      7,444,876,788
  衍生金融资产                  五 4          87,481,918        48,306,818        12,550,275        43,010,752
  买入返售金融资产              五 5        5,086,605,002      4,828,834,513      5,086,605,002      4,828,834,513
  应收款项                  五 6,十七 1        39,605,621        62,963,064        29,013,248        33,579,026
  存出保证金                    五 7        5,755,507,270      4,391,577,765      2,537,978,278      1,756,700,119
  金融投资:                                36,855,891,567    28,922,991,809    33,627,849,732    25,572,354,914
    交易性金融资产              五 8      36,382,376,933    28,261,356,216    33,202,685,371    25,163,235,463
    债权投资                    五 9          40,538,653      245,562,979        31,739,870        32,598,327
    其他债权投资                五 10          159,488,832      168,464,245      159,488,832      168,464,245
    其他权益工具投资            五 11          273,487,149      247,608,369      233,935,659      208,056,879
  长期股权投资              七 3,十七 2      254,087,174      150,687,174      6,298,519,948      6,298,519,948
  固定资产                      五 12          385,805,648      401,362,621      345,284,917      357,927,099
  使用权资产                    五 13          415,038,592      423,389,389      271,813,187      260,555,158
  无形资产                      五 14          169,205,881      172,640,222      159,451,843      162,513,452
  商誉                          五 15          476,939,901      476,939,901        49,096,844        49,096,844
  递延所得税资产                五 17          240,828,184      238,330,350      100,076,171      120,530,686
  其他资产                  五 16,十七 3      691,061,073      537,772,814      1,819,385,058      1,429,425,494
资产总计                                    88,455,367,367    76,302,381,884    76,859,292,268    67,109,523,361
此财务报表已于 2022 年 8 月 25 日获董事会批准。

王怡里                汤建雄                张立德                公司盖章

法定代表人            主管会计工作的        会计机构负责人

                      公司负责人

刊载于第 15 页至第 144 页的财务报表附注为本财务报表的组成部分。


                      合并及母公司资产负债表 (未经审计) (续)

                                2022 年 6 月 30 日

                                (金额单位:人民币元)

                                                        本集团                              本公司

                                                    2022 年            2021 年            2022 年            2021 年
                                附注            6 月 30 日        12 月 31 日          6 月 30 日        12 月 31 日
负债及股东权益
负债

  短期借款                      五 19          959,682,162      890,372,709                  -                  -
  应付短期融资款                五 20        4,304,858,761      4,190,960,434      4,304,858,761      4,190,960,434
  拆入资金                      五 21      10,344,634,262    13,426,719,743    10,344,634,262    13,426,719,743
  交易性金融负债                五 22        4,646,816,533      2,700,652,386      4,646,816,533      2,700,652,386
  衍生金融负债                  五 4          191,533,671        90,200,606        88,310,080        68,248,019
  卖出回购金融资产款            五 23      14,812,148,330      6,753,855,799    14,812,148,330      6,753,855,799
  代理买卖证券款                五 24      18,774,975,480    15,368,712,212    10,199,444,133      8,848,526,732
  代理承销证券款                五 25          18,248,850                  -                  -                  -
  应付职工薪酬                  五 26          192,729,612      192,342,274      128,394,930      109,919,988
  应交税费                      五 27          69,066,550      121,167,466        58,165,006        67,983,079
  应付款项                      五 28          845,681,721      480,582,017      182,848,323        76,382,017
  应付债券                      五 29      12,961,739,685    12,166,623,726    12,951,960,798    12,155,604,549
  租赁负债                      五 30          425,751,936      420,143,055      292,572,234      261,477,665
  递延所得税负债                五 17          86,220,145        61,233,982                  -                  -
  其他负债            
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