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首页 公告 600926:杭州银行2022年半年度财务报告及审阅报告

600926:杭州银行2022年半年度财务报告及审阅报告

公告日期:2022-08-20

600926:杭州银行2022年半年度财务报告及审阅报告 PDF查看PDF原文
杭州银行股份有限公司

截至 2022 年 6 月 30 日止六个月期间的

中期财务报表及审阅报告

杭州银行股份有限公司

截至 2022 年 6 月 30 日止六个月期间的中期财务报表及审阅报告

                                                    页码

审阅报告                                            1

截至 2022 年 6 月 30 日止六个月期间的中期财务报表

  合并及银行资产负债表                              1-2

  合并及银行利润表                                  3-4

  合并及银行现金流量表                              5-6

  合并股东权益变动表                                7-8

  银行股东权益变动表                                9-10

  财务报表附注                                      11-167

补充资料                                            1-2


2022 年 6 月 30 日的合并及银行资产负债表

(除特别注明外,金额单位为人民币千元)

                                          本集团                          本银行

                                    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
                                  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              四(1)    87,324,174      85,359,596      87,324,174      85,359,596
 存放同业款项        四(2)    16,059,442      15,028,135      16,059,442      15,028,135
 贵金属                                  -          11,601              -          11,601
 拆出资金            四(3)    24,064,334      27,209,359      24,064,334      27,209,359
 买入返售金融资产    四(4)    39,979,570      22,980,416      39,979,570      22,980,416
 衍生金融资产        四(5)      4,552,886      3,392,198      4,552,886      3,392,198
 发放贷款和垫款      四(6)    632,047,749    560,890,639    628,579,635    557,421,092
 金融投资:          四(7)

  交易性金融资产              146,339,527    152,316,737    149,785,055    155,776,266
  债权投资                    394,255,605    355,684,074    394,264,191    355,694,092
  其他债权投资                164,887,961    145,649,147    164,887,961    145,649,147
  其他权益工具投资                104,355        120,325        104,355        120,325
 长期股权投资        四(8)      2,966,126      2,850,470      3,966,126      3,850,470
 固定资产            四(9)      1,576,078      1,547,500      1,573,312      1,544,252
 在建工程            四(10)      896,705        935,559        896,705        935,559
 无形资产            四(11)      1,137,829      1,162,135      1,135,344      1,159,280
 递延所得税资产      四(12)      9,291,752      8,320,881      9,291,752      8,318,381
 其他资产            四(13)      7,371,133      7,105,758      6,984,844      6,920,481
资产总计                      1,532,855,226  1,390,564,530  1,533,449,686  1,391,370,650
后附中期财务报表附注为本中期财务报表的组成部分。


截至 2022 年 6 月 30 日止六个月期间的中期合并及银行利润表

(除特别注明外,金额单位为人民币千元)

                                              本集团                              本银行

                                    截至 2022 年      截至 2021 年      截至 2022 年      截至 2021 年
                                    6 月 30 日止      6 月 30 日止      6 月 30 日止      6 月 30 日止
                          附注      六个月期间        六个月期间        六个月期间        六个月期间
                                      未经审计          未经审计          未经审计          未经审计
一、营业收入

  利息收入              四(31)    26,755,741        23,639,778        26,755,741        23,639,778
  利息支出              四(31)    (15,781,415)      (13,039,626)      (15,784,388)      (13,041,307)
  利息净收入            四(31)    10,974,326        10,600,152        10,971,353        10,598,471
  手续费及佣金收入      四(32)      2,977,326        2,185,801        1,975,807        1,899,043
  手续费及佣金支出      四(32)      (153,080)        (128,529)        (150,711)        (195,087)
  手续费及佣金净收入    四(32)      2,824,246        2,057,272        1,825,096        1,703,956
  投资收益              四(33)      2,843,661        1,785,328        2,843,661        1,785,328
    其中:对联营企业的

            投资收益                  154,152            74,634          154,152            74,634
          以摊余成本计

            量的金融资

            产终止确认

            产生的损益                43,808            9,822          43,808            9,822
  公允价值变动损益      四(34)        625,238          383,956          625,238          383,956
  汇兑损益              四(35)      (141,511)          (1,482)        (141,511)          (1,482)
  其他业务收入                          4,432            6,133            4,432            6,133
  资产处置损益          四(36)        42,198              (13)          42,198              (13)
  其他收益              四(37)        129,714            44,358          87,844            44,332
  营业收入合计                    17,302,304        14,875,704        16,258,311        14,520,681
二、营业支出

  税金及附加            四(38)      (150,222)        (111,263)        (143,124)        (108,812)
  业务及管理费          四(39)    (4,066,830)        (3,557,764)      (4,020,311)      (3,521,644)
  信用减值损失          四(40)    (5,708,529)        (5,431,827)      (5,708,529)      (5,431,827)
  其他业务支出                          (419)            (117)            (419)            (117)
  营业支出合计                      (9,926,000)        (9,100,971)      (9,872,383)      (9,062,400)
三、营业利润                          7,376,304        5,774,733        6,385,928        5,458,2
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