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首页 公告 苏州银行:半年报财务报表

苏州银行:半年报财务报表

公告日期:2020-08-31

苏州银行:半年报财务报表 PDF查看PDF原文

2020 年 6 月 30 日合并及银行资产负债表

(除另有标明外,所有金额均以人民币元列示)

                          附注五                本 集团                                本银行

                                  2020 年 6 月 30 日  2019 年 12 月 31 日  2020 年 6 月 30 日  2019 年 12 月 31 日
                                        (未 经审计)            (经 审计)        (未经审 计)            (经审计 )
资产

现金及存放中央 银行款项      1    22,717,877,731      22,649,199,124      21,961,049,746    21,948,475,086
存放同业款项                2      4,574,767,325        4,396,968,441      3,430,372,399      2,589,562,507
贵金属                                  1,220,560          1,285,776          1,220,560          1,285,776
拆出资金                      3    15,941,975,849      10,793,449,857      15,941,975,849    10,997,542,009
买入返售金融资 产            4      2,462,616,040        9,742,557,843      2,462,616,040      9,742,557,843
发放贷款及垫款              5    173,963,436,376    155,326,330,822    168,657,687,562    150,892,267,538
金融投资:                  6

  交易性金 融资产                    47,315,714,288      37,965,192,928      47,315,714,288    37,965,192,928
  债权投资                          70,937,933,708      65,395,487,081      70,937,933,708    65,395,487,081
  其他债权 投资                      19,658,011,996      14,575,005,422      19,658,011,996    14,575,005,422
  其他权益 工具投资                      56,936,400          54,399,125          56,936,400        54,399,125
长期股权投资                7        606,515,295        563,040,078      2,009,573,452      1,696,098,235
固定资产                      8      2,804,439,039        2,965,293,027      2,642,510,590      2,753,350,396
投资性房地产                                6,591              6,818              6,591              6,818
在建工程                      9        105,697,411          80,811,705          82,018,006        57,984,925
无形资产                    10      415,354,978        408,441,457        404,376,910        397,025,384
递延所得税资产              11      1,947,774,116        1,554,631,546      1,809,860,531      1,428,699,765
长期待摊费用                12        38,650,750          50,027,212          32,635,402        43,891,730
长期应收款                  13    16,553,158,227      16,050,238,825                  -                  -
其他资产                    14      339,628,693        899,190,809        188,438,335        744,140,460
资产总计                          380,441,715,373    343,471,557,896    357,592,938,365    321,282,973,028
后附财务 报表附注为本 财务报表的组 成部分。


2020 年 6 月 30 日合并及银行资产负债表(续)

(除另有标明外,所有金额均以人民币元列示)

                          附注五                本 集团                                本银行

                                  2020 年 6 月 30 日  2019 年 12 月 31 日  2020 年 6 月 30 日  2019 年 12 月 31 日
                                        (未 经审计)            (经 审计)        (未经审 计)            (经审计 )
负债

向中央银行借款                      10,141,593,858      2,462,401,813      10,076,593,858      2,462,401,813
同业及其他金融 机构存放款项  16      4,769,539,571      9,056,180,031      4,966,337,554      9,442,924,552
拆入资金                    17      18,374,319,094    16,413,096,372      5,884,501,739      3,006,604,459
交易性金融负债              6        201,684,979        372,078,703        201,684,979        372,078,703
卖出回购金融资 产            18      11,768,972,338    23,229,177,674      11,768,972,338    23,229,177,674
吸收存款                    19    252,989,039,989    222,114,144,042    247,010,494,476    215,766,664,510
应付职工薪酬                20        606,351,777        765,259,102        587,622,651        729,193,250
应交税费                    21        700,220,222        683,188,066        648,641,272        643,908,875
应付债券                    22      48,784,079,523    37,294,744,854      47,280,381,902    37,294,744,854
递延收益                    23          12,076,269        12,651,329          12,076,269        12,651,329
预计负债                    24        448,523,169        434,002,181        448,523,169        434,002,181
其他负债                    25      1,561,254,863      1,681,432,354        695,940,207        659,134,941
负债总计                            350,357,655,652    314,518,356,521    329,581,770,414    294,053,487,141
股东权益

股本                        26      3,333,333,334      3,333,333,334      3,333,333,334      3,333,333,334
资本公积                    27      10,814,539,319    10,814,539,319      10,806,209,221    10,806,209,221
其他综合收益                28        177,545,852        159,283,375        177,545,852        159,283,375
盈余公积                    29      2,504,432,336      2,504,432,336      2,504,432,336      2,504,432,336
一般风险准备                30      4,029,142,300      3,710,200,914      3,799,464,413      3,489,464,413
未分配利润                  31      7,793,422,724      7,280,541,346      7,390,182,795      6,936,763,208
归属于母 公司股东的权 益              28,652,415,865    27,802,330,624                  -                  -
少数股东权益                          1,431,643,856      1,150,870,751                  -                  -
股东权益 合计                        30,084,059,721    28,953,201,375      28,0
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