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山西证券:2025年半年度财务报告

公告日期:2025-08-28

山西证券股份有限公司
2025 年半年度财务报告

        2025 年 08 月


                              山西证券股份有限公司

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

                                2025 年 6 月 30 日

                              (金额单位:人民币元)

                                                      本集团                              本公司

                                                  2025 年          2024 年          2025 年          2024 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      24,196,063,684    25,401,187,834    16,248,828,702    16,494,440,454
    其中:客户存款                        17,391,778,405    17,371,214,264    11,302,078,585    10,909,910,968
  结算备付金                    五 2        3,983,517,826    4,020,926,094    4,278,962,977    5,082,480,845
    其中:客户备付金                        2,065,386,929    2,067,871,695    1,929,024,623    1,987,603,707
  融出资金                      五 3        6,998,407,351    7,329,486,640    6,989,829,036    7,319,303,094
  衍生金融资产                  五 4          22,785,241      122,075,207        12,228,805      110,716,823
  买入返售金融资产              五 5          532,699,399    1,977,533,836      497,688,267    1,942,522,705
  应收款项                  五 6,十八 1      148,306,333      140,679,526        81,028,713        98,496,467
  存出保证金                    五 7        3,477,097,130    3,063,399,796      776,183,309      616,774,097
  金融投资:                              36,613,524,152    36,307,012,985    33,356,102,977    33,889,279,760
    交易性金融资产              五 8      36,332,012,700    36,008,042,780    33,111,292,516    33,627,010,546
    债权投资                    五 9          26,225,061        27,426,901        26,225,061        27,426,901
    其他债权投资                五 10          50,798,195        57,443,663        50,798,195        57,443,663
    其他权益工具投资            五 11        204,488,196      214,099,641      167,787,205      177,398,650
  长期股权投资              七 3,十八 2      388,610,560      389,446,061    6,478,519,948    6,478,519,948
  固定资产                    五 12        370,104,581      386,698,487      342,169,591      355,055,161
  使用权资产                  五 13        207,430,409      252,534,614      140,985,999      165,510,009
  无形资产                    五 14        215,427,312      248,858,945      202,528,630      232,770,106
  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        148,327,681      135,143,611        17,665,308        4,829,961
  其他资产                  五 16,十八 3      349,971,123      409,420,577      174,807,519      520,247,784
资产总计                                  78,129,212,683    80,661,344,114    69,646,626,625    73,360,044,058
此财务报表已于 2025 年 8 月 26 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

后附财务报表附注为本财务报表的组成部分


                              山西证券股份有限公司

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

                                2025 年 6 月 30 日

                              (金额单位:人民币元)

                                                      本集团                              本公司

                                                  2025 年          2024 年          2025 年          2024 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 20        181,913,384      129,792,354                -                -
  应付短期融资款                五 21        107,206,471        36,140,651                -                -
  拆入资金                    五 22        9,040,745,888    10,333,096,752    9,040,745,888    10,333,096,752
  交易性金融负债                五 23        413,330,521    3,369,245,850      413,330,521    3,369,245,850
  衍生金融负债                  五 4          10,566,398        86,426,912        3,356,238        80,519,961
  卖出回购金融资产款            五 24      12,601,806,193    12,729,642,678    12,477,495,997    12,605,522,054
  代理买卖证券款                五 25      19,713,446,676    18,504,762,179    13,115,811,431    12,867,884,415
  应付职工薪酬                  五 26        230,618,530      149,427,011      178,638,558        93,316,346
  应交税费                    五 27          53,451,243        83,677,236        16,494,345        30,623,891
  应付款项                    五 28        175,324,143        93,168,277      169,045,823        89,421,187
  应付债券                    五 29      15,046,248,743    15,170,215,285    15,032,192,445    15,157,817,458
  租赁负债                    五 30        224,690,899      264,042,901      154,697,978      175,541,755
  递延所得税负债                五 17          44,861,845        53,668,910                -                -
  其他负债                    五 31        1,681,581,896    1,364,567,880    1,035,605,689    1,015,055,155
负债合计                                  59,525,792,830    62,367,874,876    51,637,414,913