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山西证券:2023年半年度财务报告

公告日期:2023-08-29

山西证券:2023年半年度财务报告 PDF查看PDF原文
山西证券股份有限公司
2023 年半年度财务报告

        2023 年 08 月


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

                                2023 年 6 月 30 日

                                (金额单位:人民币元)

                                                        本集团                              本公司

                                                    2023 年            2022 年            2023 年            2022 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      23,228,214,042    24,693,407,549    13,888,937,904    13,083,981,553
    其中:客户存款                          16,720,991,451    16,973,587,150      9,242,671,182      8,419,289,480
  结算备付金                    五 2        2,682,339,359      3,050,451,293      2,788,677,919      3,105,272,379
    其中:客户备付金                          627,048,773      607,097,589      462,651,668      510,978,942
  融出资金                      五 3        6,758,547,153      6,414,655,281      6,714,509,900      6,349,386,754
  衍生金融资产                  五 4          75,643,646      145,694,858        61,767,925      132,440,576
  买入返售金融资产              五 5        3,979,015,746      5,299,686,442      3,965,964,408      5,180,810,565
  应收款项                  五 6,十七 1      129,770,365      108,216,285      106,189,032        70,572,584
  存出保证金                    五 7        4,986,932,785      5,921,432,912      1,309,728,477      2,002,393,382
  金融投资:                                37,861,412,886    34,116,706,406    33,958,924,150    31,229,578,262
    交易性金融资产              五 8      37,484,344,453    33,736,067,570    33,625,698,572    30,892,374,062
    债权投资                    五 9          37,570,695        38,042,640        29,976,050        30,856,215
    其他债权投资                五 10          112,146,647        99,406,097      112,146,647        99,406,097
    其他权益工具投资            五 11          227,351,091      243,190,099      191,102,881      206,941,888
  长期股权投资              七 3,十七 2      281,832,144      284,558,615      6,478,519,948      6,478,519,948
  固定资产                      五 12          371,716,525      380,942,682      334,296,940      341,399,594
  使用权资产                    五 13          321,872,165      358,453,476      226,689,950      239,067,774
  无形资产                      五 14          185,663,825      194,487,018      175,644,947      184,892,270
  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          215,904,081      272,533,920        45,882,459      119,079,527
  其他资产                  五 16,十七 3      392,211,806      1,191,063,532      1,492,009,814      1,896,774,375
资产总计                                    81,948,016,429    82,909,230,170    71,596,840,617    70,463,266,387
此财务报表已于 2023 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 147 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)

                                2023 年 6 月 30 日

                                (金额单位:人民币元)

                                                        本集团                              本公司

                                                    2023 年            2022 年            2023 年            2022 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          373,046,371      1,024,956,219                  -                  -
  应付短期融资款                五 20          391,745,301      1,759,047,524      391,745,301      1,759,047,524
  拆入资金                      五 21      11,065,196,136    13,453,468,073    11,065,196,136    13,453,468,073
  交易性金融负债                五 22        2,776,192,783      4,357,663,435      2,776,192,783      4,352,515,971
  衍生金融负债                  五 4          17,972,853      122,220,749          2,437,977      105,104,331
  卖出回购金融资产款            五 23      12,603,184,248      6,775,117,389    12,520,277,910      6,722,361,379
  代理买卖证券款                五 24      17,794,320,096    18,643,886,645      9,578,314,814      9,376,439,431
  应付职工薪酬                  五 25          182,566,045      109,699,915      139,211,820        46,546,569
  应交税费                      五 26          56,995,016        64,743,025        43,658,057        30,569,100
  应付款项                      五 27          508,380,729      975,222,942      263,012,805      182,252,368
  应付债券                      五 28      15,960,053,609    15,792,774,235    15,955,691,059    15,785,536,413
  租赁负债                      五 29          335,694,920      363,863,824      242,302,553      246,462,477
  递延所得税负债                五 17          125,329,687        82,705,259                  -                  -
  其他负债                      五 30        1,821,865,442      1,540,820,792      1,451,543,294      1,214,565,986
负债合计        
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