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首页 公告 601997:贵阳银行股份有限公司2022年半年度已审阅财务报告

601997:贵阳银行股份有限公司2022年半年度已审阅财务报告

公告日期:2022-08-27

601997:贵阳银行股份有限公司2022年半年度已审阅财务报告 PDF查看PDF原文
贵阳银行股份有限公司
已审阅财务报表
截至2022年6月30日止六个月期间


      北京注册会计师协会

        业务报告统一编码报备系统

  业务报备统一编码: 110002432022316011482

                    贵阳银行股份有限公司 2022 年中期审阅报
          报告名称:

                    告

          报告文号: 安永华明(2022)专字第 61357734_B10 号

被审(验)单位名称: 贵阳银行股份有限公司

  会计师事务所名称: 安永华明会计师事务所(特殊普通合伙)

          业务类型: 专项审计

          报告日期: 2022 年 08 月 26 日

          报备日期: 2022 年 08 月 22 日

                    周明骏(110002432618),

          签字人员:

                    陈丽菁(310000850029)

        (可通过扫描二维码或登录北京注协官网输入编码的方式查询信息)

  说明:本备案信息仅证明该报告已在北京注册会计师协会报备,不代表北京注册会计师协会在任何意义上对报告内容做出任何形式的保证。


                              目  录

                                                            页  次
      审阅报告                                        1

      财务报表

      合并资产负债表                                        2–3
      合并利润表                                            4–5
      合并股东权益变动表                                    6–7
      合并现金流量表                                        8–9
      公司资产负债表                                        10–11
      公司利润表                                            12–13
      公司股东权益变动表                                    14–15
      公司现金流量表                                        16–17
      财务报表附注                                          18–130
      补充资料

      1.非经常性损益明细表                                    1

      2.净资产收益率和每股收益                                1

合并资产负债表

2022 年 6 月 30 日                                          人民币千元

资产                          附注五        2022年6月30日        2021年12月31日
                                                  未经审计                经审计
现金及存放中央银行款项            1              34,056,710            34,607,516
存放同业款项                    2              5,974,969              7,530,631
拆出资金                        3                110,396                110,693
衍生金融资产                    4                      81                      -
买入返售金融资产                5              1,303,289              1,287,897
发放贷款和垫款                  6            258,715,497            245,830,565
金融投资                        7

 —交易性金融资产              7.1            36,811,938            32,691,982
 —债权投资                    7.2            183,111,267            184,153,472
 —其他债权投资                7.3            68,463,315            64,533,921
 —其他权益工具投资            7.4                299,493                302,419
长期股权投资                    8                  31,205                      -
长期应收款                      9              27,949,245            26,218,429
固定资产                        10              3,728,049              3,859,687
使用权资产                      11                297,454                319,810
无形资产                        12                224,446                242,005
递延所得税资产                  13              4,778,689              4,132,652
其他资产                        14              3,666,357              2,865,167

资产合计                                      629,522,400            608,686,846
后附财务报表附注为本财务报表的组成部分


                              附注五          2022年1-6月            2021年1-6月
                                                  未经审计              未经审计
一、营业收入                                    7,963,307              7,274,313
  利息净收入                  34              7,064,676              6,414,747
  利息收入                    34            14,612,960            14,215,265
    利息支出                    34            (7,548,284)            (7,800,518)
    手续费及佣金净收入          35                322,964                370,154
    手续费及佣金收入            35                477,299                500,652
    手续费及佣金支出            35              (154,335)              (130,498)
    投资收益                    36                550,692                414,001
    公允价值变动损益            37                (13,380)                60,821
    汇兑收益                                          262                    612
    其他收益                    38                32,203                  2,639
    其他业务收入                                    5,799                11,275
    资产处置收益                                        91                    64
二、营业支出                                    (4,735,972 )            (3,987,430)
    税金及附加                  39                (71,017)              (74,799)
    业务及管理费                40            (1,811,705)            (1,823,034)
    信用减值损失                41            (2,659,689)            (2,089,597)
    其他资产减值损失            42              (193,561)                    -
三、营业利润                                    3,227,335              3,286,883
    加:营业外收入              43                  1,940                  2,002
    减:营业外支出              44                (2,098)                (1,715)
四、利润总额                                    3,227,177              3,287,170
    减:所得税费用              45              (217,987)              (275,768)
五、净利润                                      3,009,190              3,011,402
  按经营持续性分类

      持续经营净利润                       
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