601628 中国人寿
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120,934,00039.78%86,519,000150,520,000128,953,00060,894,000
交易性金融资产1,949,205,0002.15%1,908,098,000000
衍生金融资产0--0000
买入返售金融资产9,169,000-70.00%30,560,00019,749,00038,533,00012,915,000
应收保费0--0019,697,00020,361,000
可供出售金融资产0--02,263,047,0001,738,108,0001,429,287,000
持有至到期投资0--01,707,198,0001,574,204,0001,533,753,000
发放贷款和垫款0--0000
长期股权投资317,524,0005.11%302,077,000258,872,000261,179,000257,953,000
存出资本保证金6,637,0000.70%6,591,0006,333,0006,333,0006,333,000
固定资产48,205,0000.75%47,845,00048,112,00049,052,00048,081,000
无形资产8,129,000-1.61%8,262,0008,369,0008,532,0008,507,000
投资性房地产12,199,000-0.97%12,319,00012,753,00013,193,00013,374,000
定期存款457,234,0004.28%438,455,000405,361,000485,567,000529,488,000
其他资产4,363,119,00011.05%3,928,820,000773,413,000928,633,000971,534,000
7,292,355,0007.72%6,769,546,0005,653,727,0005,251,984,0004,892,480,000

负债
短期借款0-100.00%65,000001,476,000
交易性金融负债69,915,00030.63%53,521,000000
衍生金融负债0--0000
卖出回购金融资产款209,785,00038.41%151,564,000216,704,000148,954,000239,446,000
吸收存款0--0000
预收保费3,134,000-89.10%28,760,00048,878,00050,830,00048,699,000
应付赔付款0--0060,819,00056,818,000
应付保单红利0--0096,682,000124,949,000
保户储金及投资款0--00374,742,000313,585,000
未到期责任准备金0--0013,108,00014,062,000
未决赔款准备金0--0026,153,00026,234,000
寿险责任准备金0--003,607,236,0003,182,083,000
长期健康险责任准备金0--00233,663,000197,520,000
长期借款0-100.00%12,693,00012,719,00012,774,00017,746,000
应付债券35,568,0001.06%35,194,00034,999,00034,997,00034,994,000
其他负债6,438,354,0007.91%5,966,501,0005,002,711,000146,905,000147,734,000
6,756,756,0008.14%6,248,298,0005,316,011,0004,806,863,0004,405,346,000

总权益
    实收股本28,265,0000.00%28,265,00028,265,00028,265,00028,265,000
    储备项目495,354,0002.90%481,410,000299,519,000407,904,000450,796,000
股东权益523,619,0002.74%509,675,000327,784,000436,169,000479,061,000
非控股权益11,980,0003.52%11,573,0009,932,0008,952,0008,073,000