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  • [亚太] 上证指数 2319.12 (1.00%) 深证成指 9466.14 1.78% 恒生指数 19664.10 -1.06% 台北 7233.69 0.17% 韩国 1964.83 0.39%
  • [亚太] 日经 8841.22 -0.09% 澳大利亚 4348.48 0.45% 新西兰 3294.64 0.40% 印度孟买 17234.00 0.92% 新加坡 2916.26 0.75%
  • [美洲] 道琼斯 12660.50 -0.58% 纳斯达克 2816.55 0.40% 标普500 1316.33 -0.16% 加拿大 12466.50 0.02% 巴西 62904.20 -0.08%
  • [欧洲] 英国富时 5733.45 -1.07% 法国CAC 3318.76 -1.32% 德国DAX 6511.98 -0.43% 俄罗斯 1508.04 -0.44% Stoxx50 2436.62 -0.97%
  • [其他] 纽约原油 99.70 0.00% 纽约黄金 1738.40 0.00% 人民币/美元 6.33 0.00% 美元指数 78.83 0.00% 基金指数 3782.30 1.37%
  • [亚太] 上证指数 2319.12 (1.00%) 深证成指 9466.14 1.78% 恒生指数 19664.10 -1.06% 台北 7233.69 0.17% 韩国 1964.83 0.39%
  • [亚太] 日经 8841.22 -0.09% 澳大利亚 4348.48 0.45% 新西兰 3294.64 0.40% 印度孟买 17234.00 0.92% 新加坡 2916.26 0.75%
  • [美洲] 道琼斯 12660.50 -0.58% 纳斯达克 2816.55 0.40% 标普500 1316.33 -0.16% 加拿大 12466.50 0.02% 巴西 62904.20 -0.08%
  • [欧洲] 英国富时 5733.45 -1.07% 法国CAC 3318.76 -1.32% 德国DAX 6511.98 -0.43% 俄罗斯 1508.04 -0.44% Stoxx50 2436.62 -0.97%
  • [其他] 纽约原油 99.70 0.00% 纽约黄金 1738.40 0.00% 人民币/美元 6.33 0.00% 美元指数 78.83 0.00% 基金指数 3782.30 1.37%
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中国平安(601318)公告正文

中国平安2007年半年度報告摘要

公告日期 2007-08-17
股票简称:中国平安 股票代码:601318
A股简称 中国平安 A股代码  601318

中国平安保险(集团)股份有限公司2007年半年度報告摘要    

    1重要提示
    1.1 本公司董事会、监事会及董事、监事、高级管理人员保证本报告所载资料不存在任何虚假记载、误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。
    1.2 本中期报告摘要摘自中期报告全文,报告全文同时刊载于http://www. sse. com.cn。投资者欲了解详细内容,应当仔细阅读中期报告全文。
    1.3 本公司第七届董事会第十四次会议于2007年8月16日审议通过了本公司《2007年中期报告》正文及摘要。会议应出席董事19人,实到董事15人,委托4人(董事胡爱民先生和陈洪博先生委托董事长马明哲先生出席会议并行使表决权,董事王冬胜先生委托董事伍成业先生出席会议并行使表决权,董事樊刚先生委托董事林丽君女士出席会议并行使表决权)。
    1.4 本公司中期财务报告已经安永华明会计师事务所审计,并出具了标准无保留意见的审计报告。
    1.5 本公司董事长兼首席执行官马明哲,总经理兼首席财务官张子欣,副首席财务执行官麦伟林保证本中期报告中财务报告的真实、完整。
    2上市公司基本情况
    2.1 公司基本情况简介
    A股简称            中国平安
    A股代码            601318
    A股上市交易所      上海证券交易所
    H股简称            中国平安
    H股代码            2318
    H股上市交易所      香港联合交易所
    董事会秘书             证券事务代表
    姓名               孙建一                 周强
    联系地址           中国深圳市八卦三路     中国深圳市八卦三路
    平安大厦               平安大厦
    电话               4008866338             4008866338
    传真               0755-82431029          0755-82431029
    电子信箱           ir@pingan. com. cn;   ir@pingan.com. cn;
    pr@pingan. com. cn     pr@pingan.com.cn
    2.2主要财务数据和指针
    2.2.1  主要会计数据和财务指针
                                                      2007年6月30日         2006年12月31日          本报告期末比上年
                                                                           调整后(2)     调整前        度期末增减(%)
               总资产(人民币百万元)                            583,143        463,288     441,791                 25.9
               股东权益((1) 人民币百万元)                       93,396         45,260      36,668                106.4
               每股净资产((1) 人民币元)                          12.72           7.31        5.92                 74.0
                                                                                                          本报告.比上.
               截至. .... . . . . . .                                  2..7.                2... .          同.增减(%)
               营业利润(人民币百万元)                                   8,487                4,427                 91.7
               利润总额(人民币百万元)                                   8,872                4,426                100.5
               净利润((1)人民币百万元)                                  8,063                3,945                104.4
               扣除非经常性损益的
                净利润(1)(人民币百万元)                                 7,771                3,946                 96.9
               基本每股收益(人民币元)                                    1.16                 0.64                 81.3
               稀释每股收益(人民币元)                                    1.16                 0.64                 81.3
               全面摊薄净资产收益率((%)3) %)                             8.6                 10.7      下降2.1个百分点
               经营活动产生的现金流量净额                                20,002               25,008                (20.0)
                (人民币百万元)
               每股经营活动产生的现金流量净额                              2.87                 4.04                (29.0)
                (人民币元)
                (1)   以归属于母公司股东的数据填列。
                (2)   根据中国证监会《公开发行证券的公司信息披露规范问答第7号-新旧会计准则
                      过渡期间比较财务会计信息的编制和披露(》证监会计字〔2007〕10号)的规定进
                      行披露。
                (3)   全面摊薄净资产收益率的下降,主要是因为本公司2007年上半年首次公开发行
                      A股而使得净资产大幅增加所致。
        2.2.2  非经常性损益项目
        □适用             □不适用
               非经常性损益项目(人民币百万元)                                             截至2007年6月30日止
                                                                                                        6个月期间
               非流动资产处置损益                                                                               286
               除上述各项之外的其它营业外收支净额                                                                99
               所得税影响数                                                                                      (58)
               少数股东应承担的部分                                                                             (35)
               合计                                                                                             292
        2.2.3  国内外会计准则差异
        □适用             □不适用
                                                    归属于母公司所有者的净利润        归属于母公司所有者的股东权益
                                                    截至2007年      截至2006年             2007年           2006年
                                                    6月30日止       6月30日止        6月30日     12月31日
                            6个月期间       6个月期间
     (人民币百万元)                     注释
     按中国会计准则编制的财务报表                          8,063             3,945           93,396            45,260
       未到期责任准备金                   (1)                (86)             (102)              -                86
       寿险责任准备金                     (2)             (2,106)           (2,249)         (32,380)          (30,023)
       递延保单获得成本                   (3)              4,136             2,611           36,069            31,866
       递延所得税                         (4)               (301)             (136)            (966)             (687)
       少数股东权益及其它                                    (16)               30              (86)             (127)
     按国际财务报告准则编制的                             9,690             4,099           96,033            46,375
       财务报表
        注释:
        (1)    在中国会计准则报表中,寿险子公司提取的未到期责任准备金不应低于当期自留保费收入的50%。在国际财务报告准则报表中,本集团按精算方法(1/365法)确定未到期责任准备金。
        (2)    在中国会计准则报表中,寿险责任准备金是根据中国保监会的有关精算规定计算。在国际财务报告准则报表中,本集团按照《国际财务报告准则第4号—保险合同》的规定及参照美国会计准则的要求计算各项寿险责任准备金。
        (3)    在中国会计准则报表中,佣金、手续费等新业务的保单获得成本于发生时计入损益。在国际财务报告准则报表中,本集团按照《国际财务报告准则第4号—保险合同》的规定及参照美国会计准则的要求,将佣金、手续费等保单获得成本予以递延,根据其所属险种不同,分别在预计保单年限内以预期保费收入的固定比例摊销,或在保单年限内以预计实现的毛利润现值的固定比例摊销。
        (4)    根据《国际会计准则第12号—所得税会计》,上述各项中国会计准则报表与国际财务报告准则报表的差异均为暂时性差异。因此,本集团按上述差异及估计未来转回时将适用的所得税税率确认递延所得税资产和负债。
        3.股本变动及股东情况
        3.1       股份变动情况表
                                                                                                                                                             单位:股
                                                         本次变动前                                  本次变动增减(+,-)                                本次变动后
                                                         数量       比例(%)      发行新股          送股    公积金转股          其它          小计          数量       比例(%)
    一、有限售条件股份
       1、国家持股                                 588,859,239          9.51           -            -            -            -            -     588,859,239         8.02
       2、国有法人持股                             367,542,525          5.93           -            -            -            -            -     367,542,525         5.00
       3、其它内资持股                           2,680,007,872         43.26   345,000,000           -            -            -    345,000,000  3,025,007,872        41.19
          其中:
            境内法人持股                         2,680,007,872         43.26   345,000,000           -            -            -    345,000,000  3,025,007,872        41.19
            境内自然人持股                                 -            -            -            -            -            -            -            -            -
       4、外资持股                                         -            -            -            -            -            -            -            -            -
          其中:
            境外法人持股                                   -            -            -            -            -            -            -            -            -
            境外自然人持股                                 -            -            -            -            -            -            -            -            -
       合计                                      3,636,409,636         58.70   345,000,000           -            -            -    345,000,000  3,981,409,636        54.21
    二、无限售条件流通股份
       1、人民币普通股                                     -            -    805,000,000           -            -            -    805,000,000    805,000,000        10.96
       2、境内上市的外资股                                 -            -            -            -            -            -            -            -            -
       3、境外上市的外资股                        2,558,643,698        41.30           -            -            -            -            -   2,558,643,698        34.83
       4、其它                                             -            -            -            -            -            -            -            -            -
       合计                                       2,558,643,698        41.30   805,000,000           -            -            -    805,000,000  3,363,643,698        45.79
    三、股份总数                                  6,195,053,334       100.00 1,150,000,000           -            -            -  1,150,000,000  7,345,053,334       100.00
        3.2股东数量和持股情况
        单位:股
        报告期末股东总数                                                                    74,531(其中境内股东68,254户)
        前十名股东持股情况
                                                                                                      持有有限售条件    质押或冻结的
     股东名称                           股东性质           持股比例        持股总数      年度内增减         股份数量         股份数量
                                                                (%)
     汇丰保险控股有限公司               境外法人               8.43       618,886,334            -              -               -
     香港上海汇丰银行有限公司           境外法人               8.36       613,929,279            -              -               -
     深圳市投资控股有限公司             国家                   7.40       543,181,445            -        543,181,445            -
     深圳市新豪时投资发展有限公司       境内非国有法人         5.30       389,592,366            -        389,592,366            -
     源信行投资有限公司                 境内非国有法人         5.17       380,000,000            -        380,000,000            -
     深圳市景傲实业发展有限公司         境内非国有法人         4.51       331,117,788            -        331,117,788            -
     深圳市深业投资开发有限公司         国有法人               4.11       301,585,684            -        301,585,684 质押167,910,000
     广州市恒德贸易发展有限公司         境内非国有法人         2.72       200,000,000            -        200,000,000            -
     深圳市武新裕福实业有限公司         境内非国有法人         2.66       195,455,920            -        195,455,920 质押65,151,976
     深圳市立业集团有限公司             境内非国有法人         2.40       176,000,000            -        176,000,000质押167,000,000
        前十名无限售条件股东持股情况
     股东名称                                                                           持有无限售条件股份数量            股份种类
     汇丰保险控股有限公司                                                                                  618,886,334         H股
     香港上海汇丰银行有限公司                                                                           613,929,279            H股
     中国工商银行-诺安股票证券投资基金                                                                  18,816,555            A股
     中国工商银行-博时第三产业成长股票证券投资基金                                                      14,003,401            A股
     中国人寿保险股份有限公司-传统-普通保险产品-005L--CT001沪                                          13,077,800         A股
     中国工商银行-博时精选股票证券投资基金                                                                 11,642,545         A股
     中国工商银行-汇添富成长焦点股票型证券投资基金                                                         11,199,909         A股
     中国人寿保险股份有限公司-分红-个人分红-005L--FH002沪                                            8,936,500            A股
     中国人寿保险股份有限公司-分红-团体分红-005L--FH001沪                                            8,936,500            A股
     中国人寿保险(集团)公司-传统-普通保险产品                                                         8,936,500            A股
        上述股东关联关系或一致行动关系的说明
        本公司第一及第二大股东分别为汇丰控股有限公司的两家全资附属子公司—汇丰保险控股有限公司及香港上海汇丰银行有限公司,截至2007年6月30日,两家公司合计持有本公司H股股份1,232,815,613股。
        深圳市新豪时投资发展有限公司、深圳市景傲实业发展有限公司之间因实际出资人存在重叠而形成关联。
        除上述情况外,本公司未知上述其它股东之间是否存在关联关系。
        3.3控股股东及实际控制人变更情况
        □适用        □不适用
        4董事、监事和高级管理人员
        4.1  董事、监事和高级管理人员持股变动
        □适用        □不适用
        5董事会报告
        5.1  主营业务分行业、产品情况表
        (1)  本集团合并业绩
        以下为本集团合并经营业绩概要:
     截至6月30日止6个月(人民币百万元)                            2007年                       2006年
     营业收入合计                                                    84,051                      54,627
     营业支出合计                                                   (75,564)                     (50,200)
     营业利润                                                         8,487                       4,427
     净利润                                                           8,326                       4,006
        下表载列本公司按业务分部细分的净利润:
     截至6月30日止6个月(人民币百万元)                            2007年                       2006年
     人寿保险                                                          4,813                       3,528
     财产保险                                                            322                         163
     银行业务                                                          1,086                           1
     证券业务                                                            676                         174
     其它业务                                                          1,429                         140
     净利润                                                            8,326                       4,006
        下表为本公司合并投资收益数据:
     截至6月30日止6个月(人民币百万元)                            2007年                       2006年
    (人民币百万元,比例除外)
     投资收益注                                                       25,016                        7,787
     公允价值变动损益注                                                  607                       1,867
     总投资收益                                                       25,623                       9,654
     总投资收益率注                                                     9.9%                        5.8%
        注     投资收益、公允价值变动损益及总投资收益率均未考虑投资连结保险投资账户。
        (2)   本公司寿险业务经营业绩概要:
     截至6月30日止6个月(人民币百万元)                                              2007年                            2006年
    保险业务收入                                                                      42,248                              37,129
    已赚保费                                                                          41,581                              36,508
    投资收益                                                                          25,618                               8,060
    公允价值变动损益                                                                    2,530                              3,836
    汇兑损失                                                                            (316)                               (114)
    其它收入                                                                             578                                 179
      营业收入合计                                                                    69,991                              48,469
    退保金                                                                            (5,919)                             (3,910)
    赔付支出                                                                          (6,825)                             (4,044)
    减:摊回赔付支出                                                                     258                                 279
    保险责任准备金增加净额                                                            (43,854)                           (29,721)
    保单红利支出                                                                        (897)                             (1,714)
    营业税金及附加                                                                       (841)                              (263)
    手续费及佣金支出                                                                  (4,601)                             (3,272)
    业务及管理费                                                                      (2,900)                             (2,217)
    减:摊回分保费用                                                                     111                                 167
    其它支出                                                                              (87)                               (72)
      营业支出合计                                                                   (65,555)                            (44,767)
    营业利润                                                                            4,436                              3,702
    营业外收支净额                                                                          3                                  (3)
    利润总额                                                                            4,439                              3,699
    所得税                                                                                374                               (171)
    净利润                                                                              4,813                              3,528
        (3)    本公司产险业务经营业绩概要:
     截至6月30日止6个月(人民币百万元)                                              2007年                            2006年
     保险业务收入                                                                       11,637                              8,871
     已赚保费                                                                            7,599                              4,972
     投资收益                                                                              918                                282
     公允价值变动损益                                                                       10                                 24
     汇兑损失                                                                              (11)                                 (8)
     其它收入                                                                               38                                 25
       营业收入合计                                                                      8,554                              5,295
     赔付支出                                                                           (4,966)                             (3,770)
     减:摊回赔付支出                                                                      909                                853
     保险责任准备金增加净额                                                               (747)                               (291)
     分保费用                                                                               (7)                                 (1)
     营业税金及附加                                                                       (661)                              (486)
     手续费支出                                                                         (1,117)                              (674)
     业务及管理费                                                                      (1,805)                             (1,308)
     减:摊回分保费用                                                                      564                                755
     其它支出                                                                              (78)                                (32)
       营业支出合计                                                                     (7,908)                             (4,954)
     营业利润                                                                              646                                341
     营业外收支净额                                                                         (4)                                 (2)
     利润总额                                                                              642                                339
     所得税                                                                               (320)                              (176)
     净利润                                                                                322                                163
        (4)   本公司银行业务的若干关键财务资料:
     截至6月30日止6个月(人民币百万元)                                              2007年                            2006年
     净利息收入                                                                         1,488                                   11
     营业及管理费用注                                                                     (900)                                 (9)
     净利润                                                                             1,086                                    1
        注     营业及管理费用包括财务报表中的业务及管理费、营业税金及附加、其它支出、营业外支出及除贷款外之其它资产减值损失。
     截至6月30日止6个月(人民币百万元)                               2007年                            2006年
    利息收入
      客户贷款                                                          1,348                           7
      存放央行款项                                                         73                          -
      应收同业及其它金融机构款项                                          295                          15
    利息收入合计                                                        1,716                          22
    利息支出
      客户存款                                                           (641)                         (2)
      应付同业及其它金融机构款项                                         (157)                         (9)
    利息支出合计                                                         (798)                         (11)
    存贷业务净利息收入                                                    918                          11
    债券利息收入                                                          570                          -
    净利息收入                                                          1,488                          11
        (5)  本公司证券业务的若干关键财务资料:
     截至6月30日止6个月(人民币百万元)                               2007年                            2006年
    手续费及佣金净收入                                                     975                         218
    总投资收益注                                                           491                         168
    净利润                                                                 676                         174
        注     总投资收益包括投资收益及公允价值变动损益。
        5.2主营业务分地区情况
        □适用        □不适用
        5..主营业务及其结构发生重大变化的原因说明
        □适用        □不适用
        5.4主营业务盈利能力(毛利率)与上.相比发生重大变化的原因说明
        □适用        □不适用
        5.5利润构成与上.度相比发生重大变化的原因分析
        □适用     □不适用
        受益于本公司于2006年12月15日收购的深圳市商业银行本期间的利润贡献,本公司银行业务利润占比由去年同期的0.02%大幅上升至截至2007年6月30日止6个月期间的13.0%。
        5.6募集资金使用情况
        5.6.1募集资金运用
        □适用     □不适用
        (1) H股募集资金使用情况
        本公司2004年首次公开发行H股所得款项已全部用作一般企业用途及改善业务运营,所得款项构成本公司营运资金一部分,并按照相关行业监管机构有关适用法规进行使用。
        本报告期内的重要股权投资事项如下:
        增资平赡养老险
        经中国保监会于2007年3月9日批准,本公司向平赡养老险增加2亿元注册资本。增资后,平赡养老险的注册资本为人民币5亿元。
        (2) A股募集资金使用情况
        本公司2007年2月首次公开发行A股,募集资金净额达人民币382.22亿元。截至2007年6月30日止,本公司注册资本的变更尚处于监管机构审批过程中,A股募集资金全部存放于本公司在深圳平安银行开立的募集资金专户。
        5.6.2变更项目情况
        □适用    □不适用
        5.7董事会下半.的经营计划修改计划
        □适用    □不适用
        5.8预测.初至下一报告. .末的累计净利润可能为亏损或者与上.同.相比发生大幅度变动的警示及说明
        □适用    □不适用
        5.9公司董事会对会计师事务所本报告.“非标准审计报告”的说明
        □适用    □不适用
        5.1.公司董事会对会计师事务所上.度“非标准审计报告”涉及事项的变化及处理
        情况的说明
        □适用    □不适用
        6重要事项
        6.1 收购、出售资产及资产重组
        6.1.1收购资产
        □适用     □不适用
        2007年6月8日,平安寿险与民生银行签订《认购协议》,以每股人民币7.63元的认购价格认购民生银行非公开发行股票7.14亿股,锁定期12个月,认购总价款为人民币54.48亿元。该认购是本集团日常经营过程中的投资决定,有利于本集团拓宽投资渠道及扩大保险资金运用回报。
        6.1.2出售资产
        □适用    □不适用
        6.1.3  自资产重组报告书或收购出售资产公告刊登后,该事项的进展情况及对报告期经营成果与财务状况的影响。
        □适用           □不适用
        6.2担保事项
        □适用             □不适用
        3
        单位:人民币百万元
        公司对外担保情况(不包括对控股子公司的担保)
                                                                                                                           是否为
    担保对象                            发生. .         担保金额        担保类型        担保.限     是否履行完毕        关联方担保
    报告期内担保发生额合计                     -              -              -               -              -              -
    报告期末担保余额合计                       -              -              -               -              -              -
        公司对控股子公司的担保情况
     报告期内对控股子公司担保发生额合计                                                                                      -
    报告期末对控股子公司担保余额合计                                                                                      1,587
        公司担保总额情况(包括对控股子公司的担保)
    担保总额                                                                                                              1,587
    担保总额占公司净资产的比例(%)                                                                                           1.7
    其中:
      为股东、实际控制人及其关联方提供担保的金额                                                                            -
      直接或间接为资产负债率超过70%的被担保对象提供的债务担保金额                                                           -
      担保总额超过净资产50%部分的金额                                                                                       -
      上述三项担保金额合计                                                                                                  -
        6.3重大关联交易
        6.3.1  非经营性关联债权债务往来
        □适用           □不适用
        6.4重大诉讼仲裁事项
        □适用            □不适用
        3
        6.5其它重大事项及其影响和解决方案的分析说明
        6.5.1 公司持有其它上市公司发行的证券投资情况
        □适用         □不适用
        报告期末,本公司及下属子公司合计持有上市公司的证券投资情况如下(前十大证券投资按初始投资成本排序):
        持股数量初始投资成本   占该公司股权
    序号  股票代码       简称                 (百万股)    (百万元)      比例注会计核算科目
    1     600016         民生银行                   721         5,474        5.21%可供出售金融资产
                                                     33           143             交易性金融资产
    2     600000         浦发银行                   197         2,228       4.92%可供出售金融资产
                                                     17           206             交易性金融资产
    3     HK3988         中国银行                   453         1,315        0.21%可供出售金融资产
          601988                                     91           280             可供出售金融资产
    4     HK2628         中国人寿                     4            96       0.25%可供出售金融资产
          601628                                     51           966             可供出售金融资产
                                                     14           444             交易性金融资产
    5     HK1398         工商银行                    30           121       0.37%可供出售金融资产
          601398                                    353         1,100             可供出售金融资产
                                                      3            10             交易性金融资产
    6     601006         大秦铁路                   154           878       1.24%可供出售金融资产
                                                      7            83             交易性金融资产
    7     HK3328         交通银行                     9            21       0.29%可供出售金融资产
          601328                                    100           573             可供出售金融资产
                                                     33           259             交易性金融资产
    8     000002         万科A                     110           631       1.87%可供出售金融资产
                                                     13           176             交易性金融资产
    9     601919         中国远洋                    51           436        0.75%可供出售金融资产
                                                     15           129             交易性金融资产
    10    600900         长江电力                    56           429        0.61%可供出售金融资产
                                                      2            12             交易性金融资产
          其它证券投资                               -        11,942          --
          合计                                       -        27,952          --
        注     占该公司股权比例按照持有该公司股份的合计数计算
        6.5.2 公司持有非上市金融企业股权情况
        □3适用        □不适用
        报告期末,本公司下属子公司平安信托持有非上市金融企业股权情况如下:
    持有对象名称                      初始投资成本          持股数量    占该公司股权比例      .末账面净值
                                         (百万元)         (百万股)                           (百万元)
    兴业证券股份有限公司                         9                 7              0.77%                  4
        7财务报告
        7.1审计意见
        财务报告           □未经审计             □3审计
        审计报告           □标准审计报告
        □非标准审计报告
        审计报告正文
        安永华明(2007)审字第60468101-B31号
        中国平安保险(集团)股份有限公司
        全体股东:
        我们审计了后附的中国平安保险(集团)股份有限公司(以下简称“贵公司”)及其子公司(以下统称“贵集团”)财务报表,包括2007年6月30日的合并及母公司的资产负债表,截至2007年6月30日止6个月会计期间的合并及母公司的利润表、股东权益变动表和现金流量表以及财务报表附注。
        一、管理.对财务报表的..
        按照企业会计准则的规定编制财务报表是贵公司管理层的责任。这种责任包括:(1)设计、实施和维护与财务报表编制相关的内部控制,以使财务报表不存在由于舞弊或错误而导致的重大错报;(2)选择和运用恰当的会计政策;(3)作出合理的会计估计。二、注.会计师的责任
        我们的责任是在实施审计工作的基础上对财务报表发表审计意见。我们按照中国注册会计师审计准则的规定执行了审计工作。中国注册会计师审计准则要求我们遵守职业道德规范,计划和实施审计工作以对财务报表是否不存在重大错报获取合理保证。
        审计工作涉及实施审计程序,以获取有关财务报表金额和披露的审计证据。选择的审计程序取决于注册会计师的判断,包括对由于舞弊或错误导致的财务报表重大错报风险的评估。在进行风险评估时,我们考虑与财务报表编制相关的内部控制,以设计恰当的审计程序,但目的并非对内部控制的有效性发表意见。审计工作还包括评价管理层选用会计政策的恰当性和作出会计估计的合理性,以及评价财务报表的总体列报。
        我们相信,我们获取的审计证据是充分的、适当的,为发表审计意见提供了基础。 三、审计意见
        我们认为,上述财务报表已经按照企业会计准则的规定编制,在所有重大方面公允地反映了贵集团和贵公司2007年6月30日的财务状况以及截至2007年6月30日止6个月会计期间的经营成果和现金流量。
        安永华明会计师事务所                            中国注册会计师 张小东
        中国注册会计师 黄悦栋
        中国北京
        2007年8月16日
        7.2 合并及母公司的资产负债表、利润表、现金流量表及股东权益变动表(详见附件)
        7.3 报表附注
        7.3.1首次执行企业会计准则
        根据财政部的《关于印发〈企业会计准则第1号-存货〉等38项具体准则的通知(》财会〔2006〕3号),本公司自2007年1月1日起执行《企业会计准则》,不再执行原有企业会计准则和《金融企业会计制度》。本财务报表按照《企业会计准则第38号-首次执行企业会计准则》以及财政部会计准则委员会《企业会计准则实施问题专家工作组意见》)等规定,对会计政策变更所涉及的交易和事项进行了追溯调整。
        首次执行企业会计准则主要影响如下:
                                                                               (经审计)
                                                                             2..7.1.1.
                                              资本公积           盈余公积        未分配利润       少数股东权益               合计
    追溯调整前余额                               15,163             6,126              8,667              1,251             31,207
    调整:
     长期股权投资差额                              -                  6                 52                 -                 58
     金融资产                                  13,352                369              3,047                169             16,937
     衍生金融工具                                  -                  (4)                2                 -                 (2)
     寿险责任准备金                             (3,825)             (186)            (1,659)               (57)            (5,727)
     未决赔款准备金                                -               (240)             (1,147)              (14)            (1,401)
     土地使用权                                    -                 (8)               (47)                (1)               (56)
      递延所得税                                 (1,429)               57                252                (11)            (1,131)
      其它                                          (15)               -                 15                 29                 29
    追溯调整后余额                              23,246              6,120              9,182              1,366             39,914
                                                                               (经审计)
                                                                          2006年1月1日(重述)
                                              资本公积           盈余公积        未分配利润       少数股东权益               合计
    追溯调整前余额                               15,163             5,526              5,350                525             26,564
    调整:
     长期股权投资差额                              -                 -                 (3)               -                  (3)
     金融资产                                    1,074                54                308                 15              1,451
     衍生金融工具                                  -                 (8)               (46)                (1)               (55)
     寿险责任准备金                               (318)               -                 -                 (3)              (321)
     未决赔款准备金                                -               (231)            (1,307)               (16)            (1,554)
     土地使用权                                    -                 (6)               (37)               -                 (43)
      递延所得税                                   (113)               62                351                  3                303
      其它                                          (17)                2                 13                 -                 (2)
    追溯调整后余额                               15,789             5,399              4,629                523             26,340
        首次执行企业会计准则对截至2006年6月30日止6个月期间扣除少数股
        东损益后净利润的影响如下:
                                                                                                                (未经审计)
                                                                                                   截至2006年6月30日
                                                                                                          6个月期间(重述)
    追溯调整前金额                                                                                                        2,670
    调整:
     长期股权投资差额                                                                                                       20
     金融资产                                                                                                            1,730
     未决赔款准备金                                                                                                       (337)
     土地使用权                                                                                                              (7)
     递延所得税                                                                                                           (119)
     其它及少数股东损益                                                                                                     (12)
    追溯调整后金额                                                                                                        3,945
         7.3.2主要会计估计变更
        (1)本集团在符合保监发[1999] 90号文件关于所提取责任准备金不得低于法定责任准备金,以及评估利息率不得高于定价利率或7.5%的精算规定的基础上,对定价利息率高于或等于7.5%的高利率险种采用更稳健的评估利息率。于截至2007年6月30日止6个月期间(以下简称“本期间”),本集团将高利率险种的评估利息率从6.5%-7.5%降至6%-6.5%。本项会计估计变更对本集团本期间税前利润的影响为减少税前利润约人民币6,260百万元。
        (2)于2007年3月16日闭幕的第十届全国人民代表大会第五次会议通过了《中华人民共和国企业所得税法(》以下简称“新企业所得税法”),并将于2008年1月1日起施行。根据新企业所得税法,内资企业所得税税率将自2008年1月1日起从33%降为25%。另外,对目前享受较低优惠税率(如15%))的企业而言,这些优惠税率将在新企业所得税法施行后5年内逐步过渡到新企业所得税法规定的税率。根据《企业会计准则第18号-所得税》,递延所得税资产和递延所得税负债应当根据税法规定,按照预期收回该资产或清偿该负债期间的适用税率计量。根据管理层现时对可以可靠计量数据的最佳估计,企业所得税率的改变对本集团本期间的经营成果和财务状况造成下列影响:
                                                                 截至
                                                                2007年
                                                               6月30日
       (人民币百万元)                                     止6个月期间
        减少本期间递延所得税费用                                   382
        减少资本公积(可供出售金融资产公允价值变动)             1,567
        增加递延所得税资产                                         237
        增加递延所得税负债                                       1,422
        于本财务报表批准日,由于新企业所得税法的具体实施细则和管理办法尚未公布。这些具体要求可能将涉及应税收入的计算、可抵扣项目的确定、税收优惠及相关过渡条款。本集团将于这些具体要求公布时,进一步评估新企业所得税法对本集团未来期间经营成果和财务状况的影响。
        董事长兼首席执行官
        马明哲
        中国平安保险(集团)股份有限公司董事会
        2007年8月16日
        8 附件
        合并资产负债表
        2007年6月30日
        人民币百万元
                                                  (经审计)      (经审计)
                                              2007年6月30日     2006年12月31日
    资产
      货币资金                                        83,789           42,585
      结算备付金                                       1,591              875
      贵金属                                               1              111
      拆出资金                                         1,101            1,727
      交易性金融资产                                  73,436           44,003
      衍生金融资产                                        16               21
      买入返售金融资产                                12,854            7,251
      应收利息                                         4,716            3,249
      应收保费                                         5,307            3,073
      应收分保账款                                     2,205              795
      应收分保未到期责任准备金                         3,048            2,437
      应收分保未决赔款准备金                           2,058            1,724
      应收分保寿险责任准备金                               7              -
      应收分保长期健康险责任准备金                         7              -
      保户质押贷款                                     1,799            1,381
      发放贷款及垫款                                  58,427           49,152
      存出保证金                                       1,139              334
      定期存款                                        50,503           65,416
      可供出售金融资产                               132,443           95,200
      持有至到期投资                                 130,193          129,250
      长期股权投资                                       211              415
      商誉                                               475              409
      存出资本保证金                                   1,520            1,520
      投资性房地产                                     3,789            1,660
      固定资产                                         6,839            4,552
      无形资产                                           922              940
      递延所得税资产                                     592              888
      其它资产                                         4,155            4,320
    资产总计                                         583,143          463,288
                                                  (经审计)      (经审计)
                                              2007年6月30日    2006年12月31日
    负债及股东权益
    负债
      短期借款                                           557             527
      同业及其它金融机构存放款项                       5,318           3,465
      存入保证金                                       5,865           5,485
      拆入资金                                         1,871             992
      衍生金融负债                                       356             178
      卖出回购金融资产款                              22,883          14,573
      吸收存款                                        62,219          66,725
      代理买卖证券款                                   9,846           3,750
      预收保费                                           666           1,352
      应付手续费及佣金                                 1,427             894
      应付分保账款                                     2,786             746
      应付职工薪酬                                     3,381           2,133
      应交税费                                         1,509           1,166
      应付利息                                           355             287
      应付赔付款                                       4,274           3,981
      应付保单红利                                     4,771           4,107
      保户储金及投资款                                 4,945           4,049
      未到期责任准备金                                15,653          12,937
      未决赔款准备金                                   7,436           6,480
      寿险责任准备金                                 289,351         248,574
      长期健康险责任准备金                            34,399          30,694
      长期借款                                         1,636             155
      递延所得税负债                                   3,555           1,441
      其它负债                                         3,173           1,971
    负债合计                                         488,232         416,662
    所有者权益
      股本                                             7,345           6,195
      资本公积                                        63,833          23,246
      盈余公积                                         6,928           6,120
      一般风险准备                                       517             517
      未分配利润                                      14,821           9,182
      外币报表折算差额                                   (48)             -
    归属于母公司所有者权益合计                        93,396          45,260
    少数股东权益                                       1,515           1,366
    所有者权益合计                                    94,911          46,626
    负债和所有者权益总计                             583,143         463,288
    财务报表由以下人士签署:
                 马明哲              张子欣               麦伟....
               法定代表人       主管会计工作负责人    会计机构负责人
        合并利润表
        截至2007年6月30日止6个月期间
        人民币百万元
                                                                                     (经审计)               (未经审计)
                                                                               截至2007年6月                 截至2006年6月
                                                                             30日止6个月期间               30日止6个月期间
     一、营业收入
            保险业务收入                                                                      53,885                       46,000
            其中:分保费收入                                                                      47                            7
            减:分出保费                                                                     (2,600)                       (2,466)
                 提取未到期责任准备金                                                        (2,105)                     (2,054)
               . .保.                                                                         49,180                       41,480
            银行业务利息收入                                                                   1,716                           22
            银行业务利息支出                                                                   (689)                            (1)
               .行业务利息净收入                                                              1,027                            21
            手续费及佣金收入                                                                   1,357                          218
            手续费及佣金支出                                                                   (213)                          (30)
               . ..及.金净收入                                                                 1,144                          188
            投资收益                                                                          29,124                        8,802
            公允价值变动收益                                                                   3,094                        4,001
            汇兑损失                                                                           (335)                        (130)
            其它业务收入                                                                         817                          265
            营业收入合计                                                                      84,051                       54,627
                                                  (经审计)    (未经审计)
                                             截至2007年6月     截至2006年6月
                                             30日止6个月期间    30日止6个月期间
    二、营业支出
        退保金                                         (5,919)         (3,910)
        赔付支出                                      (11,791)         (7,814)
        减:摊回赔付支出                               1,167           1,132
        提取保险责任准备金                           (44,949)         (30,021)
        减:摊回保险责任准备金                           348               9
        保单红利支出                                     (897)         (1,714)
        分保费用                                           (7)            (1)
        营业税金及附加                                (1,742)            (774)
        保险业务手续费及佣金支出                      (5,666)          (3,932)
        业务及管理费                                  (6,571)          (3,986)
        减:摊回分保费用                                 675             922
        其它业务成本                                     (195)           (66)
        资产减值损失                                      (17)           (45)
        营业支出合计                                  (75,564)        (50,200)
    三、营业利润                                       8,487           4,427
        加:营业外收入                                   435              16
        减:营业外支出                                    (50)           (17)
    四、利润总额                                       8,872           4,426
        减:所得税费用                                   (546)          (420)
    五、净利润                                         8,326           4,006
        归属于母公司所有者的净利润                     8,063           3,945
        少数股东损益                                     263              61
                                                       8,326           4,006
                                                      人民币          人民币
    六、每股收益
        基本和稀释每股收益                              1.16            0.64
        合并现金流量表
        截至2007年6月30日止6个月期间
        人民币百万元
                                                  (经审计)    (未经审计)
                                             截至2007年6月    截至2006年6月
                                             30日止6个月期间  30日止6个月期间
    一、经营活动产生的现金流量
        收到原保险合同保费取得的现金                  50,918          41,567
        再保业务产生的现金净额                           (88)             32
        保户储金及投资款净增加额                         896             342
        客户存款和同业存放款项净
          增加◇(减少)额                            (2,653)             92
        向其它金融机构拆入资金净增加额                   491             681
        收取利息、手续费及佣金的现金                   3,073             238
        拆入资金净增加额                                 879              -
        收到的其它与经营活动有关的现金                 7,993           1,370
        经营活动现金流入小计                          61,509          44,322
        支付原保险合同赔付款项的现金                 (11,366)          (7,535)
        支付保单红利的现金                              (232)           (100)
        客户贷款及垫款净增加额                        (9,196)             -
        存放中央银行和同业款项净增加额                (1,577)             (5)
        支付利息、手续费及佣金的现金                  (6,035)          (3,746)
        支付给职工以及为职工支付的现金                (2,115)          (1,849)
        支付的各项税费                                (2,065)            (705)
        支付的其它与经营活动有关的现金                (8,921)          (5,374)
        经营活动现金流出小计                         (41,507)         (19,314)
        经营活动产生的现金流量净额                    20,002          25,008
                                                  (经审计)    (未经审计)
                                             截至2007年6月    截至2006年6月
                                             30日止6个月期间  30日止6个月期间
    二、投资活动产生的现金流量
        收回投资所收到的现金                         116,021           56,536
        取得投资收益收到的现金                        12,117            5,160
        处置固定资产、无形资产和其它长期资产
          收回的现金净额                                  92               9
        投资活动现金流入小计                         128,230           61,705
        购建固定资产、无形资产和其它长期资产
          支付的现金                                  (2,043)           (527)
        投资支付的现金                              (116,953)         (73,892)
        质押贷款净增加额                                (418)           (212)
        购买子公司支付的现金净额                        (382)             -
        购买子公司部分股权支付的现金净额                (229)             -
        投资活动现金流出小计                        (120,025)         (74,631)
        投资活动产生的现金流量净额                     8,205          (12,926)
    三、筹资活动产生的现金流量
        吸收投资收到的现金                            38,222              -
        取得借款收到的现金                               192               2
        收到的其它与筹资活动有关的现金                 8,310              -
        筹资活动现金流入小计                          46,724                2
        分配股利及偿付利息支付的现金                  (2,080)          (1,325)
          其中:子公司支付给少数股东的股利               (34)            (50)
        支付的其它与筹资活动有关的现金                   -            (6,460)
        筹资活动现金流出小计                          (2,080)          (7,785)
        筹资活动产生的现金流量净额                    44,644           (7,783)
    四、汇率变动对现金及现金等价物的影响                 (74)            (18)
    五、现金及现金等价物净增加额                      72,777           4,281
        加:年初现金及现金等价物余额                   47,327           25,488
    六、期末现金及现金等价物余额                      120,104           29,769
         合并股东权益变动表  截至2007年6月30日止6个月期间
        人民币百万元
                                                                                                 截至2007年6月30日止6个月期间
                                                                                       归属于母公司所有者权益
                                                                                                            一般        未分配           外币           少数          股东
    项目                                                          股本    资本公积      盈余公积         风险准备          利润      折算差额       股东权益     权益合计
                                                         (经审计)(经审计)          (经审计)(经审计)(经审计)             (经审计)(经审计)(经审计)
    一、   上..末余额                                            6,195         15,163         6,126           517          8,667             -         1,251         37,919
           加:会计政策变更                                         -          8,083            (6)           -            515             -           115          8,707
    二、   本. .初余额                                           6,195         23,246         6,120           517          9,182             -         1,366         46,626
    三、   本.增减变动金额
           (一)净利润                                             -            -             -            -          8,063             -           263          8,326
           (二)直接计入所有者权益的利得和
                     损失
                     1.   可供出售金融资产公允价值
                          变动净额
                           (1)计入所有者权益的金额                  -        15,367             -            -             -             -          154          15,521
                           (2)转入当期损益的金额                    -        (8,727)            -            -             -             -            (88)       (8,815)
                     2.   与计入所有者权益项目相关
                          的所得税的影响                            -        (2,443)            -            -             -             -            (25)       (2,468)
                     3.   其它                                      -          (682)            -            -             -           (48)           (121)         (851)
                          上述(一)和(二)小计                    -         3,515             -            -          8,063           (48)          183          11,713
           (三)所有者投入资本                                  1,150        37,072             -            -             -             -            -         38,222
           (四)利润分配
                     1.   提取盈余公积                              -            -            808            -          (808)             -            -            -
                     2.   对股东的分配                              -            -             -            -        (1,616)             -            (34)       (1,650)
    四、期末余额                                                  7,345        63,833          6,928           517         14,821           (48)        1,515          94,911
        截至2006年6月30日止6个月期间
        归属于母公司所有者权益
                                                                                                             一般        未分配           外币           少数          股东
    项目                                                         股本      资本公积       盈余公积       风险准备          利润       折算差额      股东权益      权益合计
                                                         (未经审计)   (未经审计)  (未经审计)   (未经审计)   (未经审计)  (未经审计)   (未经审计)  (未经审计)
    一、   上..末余额                                            6,195        15,163          5,526           430          5,350             -           525         33,189
           加:会计政策变更                                         -           626           (127)           -           (721)            -             (2)         (224)
    二、    本..初余额                                           6,195         15,789         5,399           430          4,629             -           523         32,965
    三、   本.增减变动金额
           (一)    净利润                                         -            -             -            -          3,945             -            61          4,006
           (二)    直接计入所有者权益的利得和损失
                     1.   可供出售金融资产公允价值变
                          动净额
                           (1)计入所有者权益的金额                  -          4,124            -            -             -             -            37          4,161
                           (2)转入当期损益的金额                    -         (1,204)           -            -             -             -            (12)       (1,216)
                     2.   与计入所有者权益项目
                          相关的所得税的影响                        -           (438)           -            -             -             -             (4)         (442)
                     3.   其它                                      -          (908)            -            -             -             -             (9)         (917)
                          上述(一)和(二)小计                    -          1,574            -            -          3,945             -            73          5,592
           (三)    利润分配
                     对股东的分配                                   -            -             -            -         (1,239)            -            (50)       (1,289)
    四、   期末余额                                               6,195         17,363         5,399           430          7,335             -           546         37,268
         母公司资产负债表 2007年6月30日 人民币百万元
                                                  (经审计)      (经审计)
                                              2007年6月30日  2006年12月31日
    资产
      货币资金                                        44,458            3,139
      交易性金融资产                                   5,318            5,458
      应收利息                                            92              29
      定期存款                                           448              776
      可供出售金融资产                                 5,455            4,227
      长期股权投资                                    17,568          17,368
      固定资产                                            63              69
      无形资产                                            10              18
      其它资产                                           328             422
      资产总计                                        73,740           31,506
    负债及股东权益
    负债
      拆入资金                                         1,751             820
      应付职工薪酬                                       890             586
      应交税费                                           179               75
      递延所得税负债                                     170               93
      其它负债                                           132             146
      负债合计                                         3,122            1,720
    所有者权益
      股本                                             7,345           6,195
      资本公积                                        52,425           15,731
      盈余公积                                         5,429            4,969
      一般风险准备                                       395             395
      未分配利润                                       5,024            2,496
      所有者权益合计                                  70,618           29,786
      负债和所有者权益总计                            73,740           31,506
        母公司利润表
        截至2007年6月30日止6个月期间
        人民币百万元
                                                  (经审计)    (未经审计)
                                              截至2007年6月    截至2006年6月
                                             30日止6个月期间  30日止6个月期间
    一、营业收入
         投资收益                                      4,878           5,213
         公允价值变动收益                                359              69
         汇兑损失                                        (25)             (5)
         其它业务收入                                    130              30
         营业收入合计                                  5,342           5,307
    二、 营业支出
         营业税金及附加                                  (54)             (3)
         业务及管理费                                   (504)           (265)
         营业支出合计                                   (558)           (268)
    三、 营业利润                                      4,784           5,039
         减:营业外支出                                   (1)             -
    四、利润总额                                       4,783           5,039
         减:所得税费用                                 (179)            (38)
    五、 净利润                                        4,604           5,001
        母公司现金流量表
        截至2007年6月30日止6个月期间
        人民币百万元
                                                  (经审计)    (未经审计)
                                              截至2007年6月    截至2006年6月
                                             30日止6个月期间  30日止6个月期间
    一、经营活动产生的现金流量
        收到的其它与经营活动有关的现金                   129               5
        经营活动现金流入小计                             129               5
        支付给职工以及为职工支付的现金                   (89)           (107)
        支付的各项税费                                   (90)             (5)
        支付的其它与经营活动有关的现金                  (185)            (53)
        经营活动现金流出小计                            (364)            (165)
        经营活动产生的现金流量净额                      (235)           (160)
    二、投资活动产生的现金流量
        收回投资所收到的现金                           7,443           4,737
        取得投资收益收到的现金                         3,897           5,087
        处置固定资产和无形资产收回的现金净额              14              -
        投资活动现金流入小计                          11,354           9,824
        购建固定资产支付的现金                           (11)            (21)
        投资支付的现金                                (6,359)         (10,798)
        投资活动现金流出小计                          (6,370)         (10,819)
        投资活动产生的现金流量净额                     4,984            (995)
    三、筹资活动产生的现金流量
        吸收投资收到的现金                            38,222              -
        取得借款收到的现金                               931           1,247
        筹资活动现金流入小计                          39,153           1,247
        分配股利、利润或偿付利息支付的现金            (1,571)          (1,243)
        支付的其它与筹资活动有关的现金                   -            (1,119)
        筹资活动现金流出小计                          (1,571)          (2,362)
        筹资活动产生的现金流量净额                    37,582           (1,115)
    四、汇率变动对现金及现金等价物的影响                 (16)             (5)
    五、现金及现金等价物净增加额                      42,315           (2,275)
        加:期初现金及现金等价物余额                   3,448           2,637
    六、期末现金及现金等价物余额                       45,763             362
         母公司股东权益变动表
        截至2007年6月30日止6个月期间
        人民币百万元
                                                                             截至2007年6月30日止6个月期间
                                                                                                    一般       未分配         股东
     项目                                                    股本     资本公积     盈余公积     风险准备         利润     权益合计
                                                       (经审计)   (经审计)   (经审计)   (经审计)   (经审计)   (经审计)
     一、上..末余额                                         6,195       15,163        6,126         517         8,678       36,679
          加:会计政策变更                                    -           568       (1,157)        (122)      (6,182)      (6,893)
     二、本..初余额                                         6,195       15,731        4,969         395         2,496       29,786
     三、 本.增减变动金额
          (一)   净利润                                     -           -           -           -         4,604        4,604
          (二)   直接计入所有者权益的利得和损失
                   1.  可供出售金融资产公允价值变动
                       净额
                        (1)计入所有者权益的金额               -          (379)         -           -           -          (379)
                        (2)转入当期损益的金额                 -          (125)         -           -           -          (125)
                   2.  与计入所有者权益项目相关的所
                       得税的影响                             -          126           -           -           -           126
                       上述(一)和(二)小计                 -         (378)          -           -         4,604        4,226
          (三)   所有者投入资本                          1,150       37,072           -           -           -        38,222
          (四)   利润分配
                   1.  提取盈余公积                           -           -           460          -          (460)         -
                   2.  对股东的分配                           -           -           -           -        (1,616)      (1,616)
     四、期末余额                                            7,345       52,425        5,429         395         5,024       70,618
                                                                              截至2006年6月30日止6个月期间
                                                                                                    一般       未分配    股东权益
     项目                                                    股本    资本公积     盈余公积     风险准备          利润         合计
                                                      (未经审计)(未经审计)(未经审计)   (未经审计) (未经审计) (未经审计)
     一、上..末余额                                         6,195       15,163        5,526         430         5,350       32,664
          加:会计政策变更                                    -             7       (1,112)         (35)      (7,002)      (8,142)
     二、本..初余额                                         6,195       15,170        4,414         395        (1,652)      24,522
     三、 本.增减变动金额
          (一)   净利润                                     -           -           -           -         5,001        5,001
          (二)   直接计入所有者权益的利得和损失
                   1.  可供出售金融资产公允价值变动
                       净额
                        (1)计入所有者权益的金额               -          301           -           -           -          301
                        (2)转入当期损益的金额                 -           (17)         -           -           -           (17)
                   2.  与计入所有者权益项目相关
                       的所得税的影响                         -           (43)         -           -           -           (43)
                       上述(一)和(二)小计                 -           241          -           -         5,001        5,242
          (三)   利润分配
                   对股东的分配                               -           -           -           -        (1,239)      (1,239)
     四、期末余额                                            6,195       15,411        4,414         395         2,110       28,525
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