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首页 公告 国元证券:2025年半年度财务报告

国元证券:2025年半年度财务报告

公告日期:2025-08-26


国 元 证 券 股 份 有 限 公 司

2025 年 半 年 度 财 务 报 告

            (国元证券 000728)

              二〇二五年八月


                    国元证券股份有限公司

            2025 年半年度财务报表(未经审计)

1.合并资产负债表

编制单位:国元证券股份有限公司                  2025 年 6 月 30 日                      金额单位:元

                项目                    附注              期末余额                  期初余额

 资产:

  货币资金                              六、1            34,832,851,953.73          30,775,071,446.66

    其中:客户资金存款                                    30,970,270,818.25          25,470,975,173.61

  结算备付金                            六、2              8,090,485,773.45          8,845,974,349.59

    其中:客户备付金                                        6,368,051,516.34          6,981,884,675.61

  贵金属                                                                  -                          -

  拆出资金                                                                -                          -

  融出资金                              六、3            20,940,133,836.93          21,729,012,791.49

  衍生金融资产                          六、4                81,226,801.53            158,468,732.24

  存出保证金                            六、5                524,501,022.13            814,533,245.70

  应收款项                              六、6              1,846,675,458.13          1,260,478,640.69

  应收款项融资                                                            -                          -

  合同资产                                                                -                          -

  买入返售金融资产                      六、7              2,945,587,302.72          3,105,821,576.25

  持有待售资产                                                            -                          -

  金融投资:

    交易性金融资产                      六、8            39,016,449,886.17          33,919,623,937.45

    债权投资                            六、9              3,043,929,970.63          3,463,230,043.69

    其他债权投资                        六、10            53,948,276,854.77          59,042,328,858.79

    其他权益工具投资                    六、11            5,529,346,601.54          2,594,254,325.88

  长期股权投资                          六、12            4,452,303,176.26          4,341,444,409.93

  投资性房地产                                                            -                          -

  固定资产                              六、13            1,121,499,498.67          1,159,995,534.81

  在建工程                              六、14              151,260,597.98            117,903,434.64

  使用权资产                            六、15              108,356,589.01            117,624,000.78

  无形资产                              六、16              102,234,569.02            122,365,697.55

    其中:数据资源                                                        -                          -

  商誉                                  六、17              120,876,333.75            120,876,333.75

  递延所得税资产                        六、18                88,305,926.81              72,542,564.13

  其他资产                              六、19              255,102,614.77            339,657,268.41


产总计                                                    177,199,404,768.00        172,101,207,192.43

负债:

 短期借款                              六、23            2,347,496,405.66          2,398,708,426.85

 应付短期融资款                        六、24            12,694,954,100.12          17,207,056,203.52

 拆入资金                              六、25            4,380,990,377.78          4,360,145,986.11

 交易性金融负债                        六、26            9,017,109,743.99          8,404,882,922.15

 衍生金融负债                          六、4                651,926,206.84            790,224,612.21

 卖出回购金融资产款                    六、27            44,241,029,534.34          44,268,802,412.80

 代理买卖证券款                        六、28            37,577,416,998.86          33,019,597,891.09

 代理承销证券款                                                          -                          -

 应付职工薪酬                          六、29            1,038,604,884.26            502,810,096.21

 应交税费                              六、30              427,559,532.33            437,122,147.28

 应付款项                              六、31            1,943,111,344.22            993,950,978.95

 合同负债                              六、32                16,807,704.01              6,583,368.67

 持有待售负债                                                            -                          -

 预计负债                              六、33                18,060,000.00                          -

 长期借款                                                                -                          -

 应付债券                              六、34            24,480,090,545.92          21,848,035,021.45

  其中:优先股                                                          -                          -

      永续债                                                            -                          -

 租赁负债                              六、35              109,775,043.38            117,014,341.96

 递延收益