601318 中国平安
2026/06 - 中期
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

资产
货币资金709,683,000-4.83%745,679,000683,433,000577,212,000613,737,000
交易性金融资产0--0000
衍生金融资产27,272,000-9.10%30,002,00068,698,00044,978,00029,278,000
买入返售金融资产213,420,00016.31%183,497,00091,840,000167,660,00091,514,000
应收保费0--0000
可供出售金融资产0--0000
持有至到期投资0--0000
发放贷款和垫款3,473,894,0001.90%3,409,074,0003,391,837,0003,318,122,0003,238,054,000
长期股权投资132,403,000-6.26%141,251,000185,514,000258,877,000280,793,000
存出资本保证金15,673,0001.91%15,380,00016,404,00014,903,00014,444,000
固定资产43,840,000-1.76%44,624,00046,277,00047,412,00049,941,000
无形资产21,475,000-3.25%22,196,00031,387,00032,613,00033,459,000
投资性房地产148,916,000-1.65%151,411,000141,495,000143,755,000136,655,000
定期存款401,755,00011.11%361,584,000280,954,000239,598,000273,288,000
其他资产9,112,623,0003.63%8,793,773,0008,019,988,0006,738,287,0006,248,777,000
14,300,954,0002.90%13,898,471,00012,957,827,00011,583,417,00011,009,940,000

负债
短期借款86,429,0002.26%84,520,00095,662,00093,322,000121,945,000
交易性金融负债0--0000
衍生金融负债40,354,000-13.89%46,862,00074,937,00044,531,00039,738,000
卖出回购金融资产款492,705,000-23.44%643,547,000462,292,000241,803,000271,737,000
吸收存款3,653,433,0001.80%3,588,691,0003,541,448,0003,418,155,0003,306,171,000
预收保费7,316,000-76.85%31,604,00019,426,00016,854,00029,785,000
应付赔付款0--0000
应付保单红利0--0000
保户储金及投资款0--0000
未到期责任准备金0--0000
未决赔款准备金0--0000
寿险责任准备金0--0000
长期健康险责任准备金0--0000
长期借款169,738,00013.09%150,094,000122,040,000135,161,000151,539,000
应付债券718,649,000-15.82%853,661,000967,042,000964,007,000931,098,000
其他负债7,678,250,0008.40%7,083,504,0006,370,268,0005,440,620,0004,971,931,000
12,846,874,0002.92%12,482,483,00011,653,115,00010,354,453,0009,823,944,000

总权益
    实收股本18,108,0000.00%18,108,00018,210,00018,210,00018,280,000
    储备项目1,009,976,0002.82%982,311,000910,390,000880,801,000850,911,000
股东权益1,028,084,0002.77%1,000,419,000928,600,000899,011,000869,191,000
非控股权益425,996,0002.51%415,569,000376,112,000329,953,000316,805,000