Workflow
递延所得税负债
icon
Search documents
西安银行: 西安银行股份有限公司2025年半年度审阅报告
Zheng Quan Zhi Xing· 2025-08-29 17:25
Core Viewpoint - Xi'an Bank Co., Ltd. has completed its interim financial statements for the six months ending June 30, 2025, reflecting its financial position and performance in accordance with relevant accounting standards [1][2]. Financial Overview - The bank's total cash reserves as of June 30, 2025, amounted to RMB 35,290,941 thousand, an increase from RMB 24,717,555 thousand as of December 31, 2024, indicating a growth of approximately 42.7% [4]. - The statutory deposit reserve ratio for RMB deposits remained stable at 5%, while the foreign currency deposit reserve ratio was also unchanged at 4% [4]. - The total loans and advances issued by the bank reached RMB 292,230,773 thousand, up from RMB 237,785,189 thousand at the end of 2024, representing a growth of about 22.8% [6]. Loan Composition - The breakdown of loans includes corporate loans of RMB 200,911,966 thousand and personal loans totaling RMB 90,052,558 thousand, with significant increases in both categories compared to the previous period [6]. - The bank's overdue loans totaled RMB 8,098,573 thousand, with the majority being guarantee loans and mortgage loans [7]. Investment Portfolio - The bank's trading financial assets were valued at RMB 33,985,296 thousand, while debt investments amounted to RMB 122,408,948 thousand, showing a slight decrease from the previous period [8][9]. - The bank's other equity investments were recorded at RMB 574,394 thousand, reflecting a change in fair value [10]. Risk Management - The bank has established provisions for loan impairments, with a total impairment provision of RMB 9,579,575 thousand for loans measured at amortized cost, which increased from RMB 7,512,272 thousand [6][7]. - The bank's credit risk classification indicates that all financial assets are currently in Stage 1, suggesting a low level of credit risk [5].
中国铝业(601600) - 内蒙古华云新材料有限公司审计报告
2025-02-28 12:02
内蒙古华云新材料有限公司 已审财务报表 2024年度 内蒙古华云新材料有限公司 目 录 | | | 页 | | 次 | | --- | --- | --- | --- | --- | | 一、 | 审计报告 | 1 | - | 4 | | 二、 | 已审财务报表 | | | | | | 资产负债表 | 5 | - | 6 | | | 利润表 | | 7 | | | | 所有者权益变动表 | 8 | - | 9 | | | 现金流量表 | 10 | - | 11 | | | 财务报表附注 | 12 | - | 62 | 审计报告 安永华明(2025)审字第80016850_A01号 内蒙古华云新材料有限公司 内蒙古华云新材料有限公司董事会: 一、审计意见 我们审计了内蒙古华云新材料有限公司的财务报表,包括2024年12月31日的资产 负债表,2024年度的利润表、所有者权益变动表和现金流量表以及相关财务报表附 注。 我们认为,后附的内蒙古华云新材料有限公司的财务报表在所有重大方面按照企 业会计准则的规定编制,公允反映了内蒙古华云新材料有限公司2024年12月31日的财 务状况以及2024年度的经营成果和现金流量 ...