601601 中国太保
2025/06 - 中期
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

资产
货币资金46,404,00058.07%29,357,00031,455,00033,134,00032,545,000
交易性金融资产674,401,0001.08%667,199,000581,602,00000
衍生金融资产11,000-57.69%26,00017,000197,000259,000
买入返售金融资产21,349,00095.77%10,905,0002,808,00021,124,00013,432,000
应收保费0--00025,803,000
可供出售金融资产0--00715,085,000645,381,000
持有至到期投资0--00514,250,000396,428,000
发放贷款和垫款0--0000
长期股权投资13,148,000-41.62%22,520,00023,184,00025,829,00026,984,000
存出资本保证金6,898,0000.69%6,851,0007,105,0007,290,0007,428,000
固定资产22,715,00012.15%20,255,00018,925,00017,465,00017,504,000
无形资产6,993,000-4.82%7,347,0007,117,0006,666,0005,509,000
投资性房地产28,396,000217.24%8,951,00010,667,00011,202,0007,514,000
定期存款178,219,0002.53%173,818,000165,501,000204,517,000196,519,000
其他资产2,031,566,0007.62%1,887,678,0001,495,581,000514,577,000570,858,000
3,030,100,0006.89%2,834,907,0002,343,962,0002,071,336,0001,946,164,000

负债
短期借款0--0000
交易性金融负债0--0000
衍生金融负债60,000-37.50%96,00021,0008,0001,000
卖出回购金融资产款180,205,000-0.82%181,695,000115,819,000119,665,00073,441,000
吸收存款0--0000
预收保费6,192,000-65.68%18,044,00017,026,00017,891,00025,154,000
应付赔付款0--00021,526,000
应付保单红利0--00024,176,000
保户储金及投资款0--000102,843,000
未到期责任准备金0--00071,493,000
未决赔款准备金0--00058,420,000
寿险责任准备金0--0001,129,622,000
长期健康险责任准备金0--000125,798,000
长期借款157,000--0000
应付债券10,103,000-1.78%10,286,00010,285,0009,999,0009,995,000
其他负债2,520,177,0009.27%2,306,305,0001,933,107,0001,722,101,00071,290,000
2,716,894,0007.97%2,516,426,0002,076,258,0001,869,664,0001,713,759,000

总权益
    实收股本9,620,0000.00%9,620,0009,620,0009,620,0009,620,000
    储备项目272,251,000-3.39%281,797,000239,966,000186,857,000217,121,000
股东权益281,871,000-3.28%291,417,000249,586,000196,477,000226,741,000
非控股权益31,335,00015.78%27,064,00018,118,0005,195,0005,664,000