KB Financial Group Inc.

55.76
1.12 (2.05%)
At close: Apr 02, 2025, 3:59 PM
53.34
-4.34%
Pre-market: Apr 03, 2025, 07:17 AM EDT

KB Financial Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 FY 2018 FY 2017 FY 2016 FY 2015 FY 2014 FY 2013 FY 2012 FY 2011 FY 2010 FY 2009 FY 2008 FY 2007 FY 2006 FY 2005 FY 2004 FY 2003 FY 2002 FY 2001 FY 2000 FY 1999
Period Ending Dec 31, 2024 Dec 31, 2023 Dec 31, 2022 Dec 31, 2021 Dec 31, 2020 Dec 31, 2019 Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015 Dec 31, 2014 Dec 31, 2013 Dec 31, 2012 Dec 31, 2011 Dec 31, 2010 Dec 31, 2009 Dec 31, 2008 Dec 31, 2007 Dec 31, 2006 Dec 31, 2005 Dec 31, 2004 Dec 31, 2003 Dec 31, 2002 Dec 31, 2001 Dec 31, 2000 Dec 31, 1999
Cash & Equivalents 24,608.9B 30,787.4B 32,063.4B 32,052.2B 26,712.4B 20,837.9B 21,461.7B 21,034.6B 19,119.2B 17,524.8B 16,767.5B 14,792.7B 11,942.3B 9,178.1B 7,038.9B 9,769.1B 3,307.9B 2,841.1B 4,003.9B 3,562.5B 3,299.2B 3,914.9B 3,892.1B 3,634.5B 6,426B 1,599.1B
Short-Term Investments n/a 82,498.1B 58,299.8B 60,376.2B 61,825.2B n/a n/a n/a n/a n/a n/a 1,399.3B n/a n/a -782.74B -6,606.7B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments n/a 199,162.1B 182,206.6B 172,372.6B 161,215.5B 125,929.9B 113,675.5B 100,222.5B 75,337.3B 54,246.6B 48,605.4B 44,933.2B 46,718.2B 42,650.4B 43,526.3B 42,535.6B 29,209.5B 31,296.5B 27,749.6B 29,807B 28,200.8B 31,358B 30,818.6B 32,437B 20,718.8B 7,019.4B
Other Long-Term Assets 725,880B 683,015B -251.09B -2,410.2B -2,478.3B -1,715.2B -1,562.3B -108,688.8B -80,896.6B -55,883.5B -48,605.4B -44,933.2B -50,318.2B -46,301.2B -45,260B -44,263.8B -29,209.5B -33,535.3B -29,840.2B -31,912.6B -30,487B -34,217B -33,569.9B 1.00 n/a -7,764B
Receivables n/a n/a 204.69B 98.8B n/a 19.09B n/a n/a n/a 4,839.6B 4,660.1B 4,861.2B 332.97B n/a 956.75B 1,029.3B 3,186.5B 2,005.1B 765.09B 1,048.2B 841.1B 1,043.2B 1,116.4B 1,160.1B n/a 643.04B
Inventory n/a n/a -51,976.3B -44,799.3B -44,459.6B -32,072.3B -30,561.5B -91,081.8B -79,674.5B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Assets n/a 51,720.5B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Total Current Assets 24,608.9B 165,633B 90,568B 101,178.6B 101,003.3B 20,857B 27,909.9B 16.32B 15.42B 16,316.1B 15,423.8B 14,792.7B 10.57B 9.18B 3,867.3B 2,695.6B 3,073.4B 3,740.5B 4,769B 4,610.7B 4,140.3B 4,958B 5,008.5B 4,794.6B 6,426B 2,242.1B
Property-Plant & Equipment 5,390B 4,945.7B 4,991.5B 5,239.9B 5,433.6B 5,067.4B 4,272.1B 4,201.7B 3,627.3B 3,287.4B 3,083B 3,060.8B 3,103.6B 3,186B 3,212B 3,345.3B 1,774.9B 1,660.5B 1,537.6B 1,500.3B 1,581.1B 2,001.7B 2,120.7B 2,031.2B 1,463.2B 744.64B
Goodwill & Intangibles 1,966.7B 1,950.9B 3,200.4B 3,266.4B 3,351.1B 2,737.8B 2,755.8B 2,943.1B 652.32B 466.83B 488.92B 443.2B 500.02B 468.44B 861.22B 770.16B 786.94B 578.25B 552.99B 605.25B 705.12B 857.3B 630.62B n/a n/a n/a
Total Long-Term Assets 733,236.7B 889,347.9B 190,398.5B 180,878.9B 170,000.2B 133,735.1B 120,703.4B 3.75B 3.57B 3,754.2B 3,571.9B 3,504B 3.6B 3.65B 2,339.4B 2,387.3B 2,561.8B 33,535.3B 29,840.2B 31,912.6B 30,487B 34,217B 33,569.9B 34,468.2B 22,182B 7,764B
Total Assets 757,845.5B 715,738.2B 701,170.8B 663,895.8B 610,672.2B 518,538.1B 479,588.3B 436,785.6B 375,673.7B 329,065.5B 308,355.7B 291,838.2B 282,006.6B 277,600.8B 262,008B 262,168.5B 258,326.9B 217,806B 184,071.2B 176,617B 171,516.2B 192,931.3B 184,089.6B 168,301.7B 91,425.8B 45,276.6B
Account Payables n/a 36.01B 35.26B 33.97B 31.18B 27.55B 25.83B 21.77B 19.08B 18.23B n/a n/a 18.16B n/a 3,703.3B 3,819.3B 4,961.6B 4,195.5B 3,527.7B 3,271.4B 3,376B 4,129.4B 4,462.8B 4,619.2B n/a n/a
Deferred Revenue n/a 594.02B 1,002.4B 870.43B 4M 4M 134M 8M 16M 8.37B 15.56B 15.42B 19M 22M n/a n/a n/a 11,978.5B 13,664.5B 9,324.4B n/a n/a 28,181.7B n/a n/a n/a
Short-Term Debt n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 42,615B 54,493.3B 3,443.8B 7,780.6B 10,136.8B 6,053B 15,105.2B 22,128.6B 23,719B 16,320.1B 9,417.7B n/a
Other Current Liabilities n/a -27,537.7B -23,309.2B 288,714.3B -26,756.2B -15,605.3B -18,110.1B -17,945.7B -15,410.7B -11,209.8B -11,041.3B -11,663B -4,685.6B -588.83B -50,021.7B -62,132B -13,367B -11,976.1B -27,329B -9,324.4B -18,481.2B -26,258B -28,181.7B -25,558.5B -9,417.7B n/a
Total Current Liabilities 7,016.8B n/a 204.69B 292,955.1B 14M 432.79B 1,081B 27M 322M 26.9B 321.88B 226.69B 284M 611M 46,318.3B 58,312.6B 8,405.4B 11,978.5B 13,664.5B 9,324.4B 18,481.2B 26,258B 28,181.7B 20,939.3B 9,417.7B n/a
Long-Term Debt 136,840.9B 120,800.2B 120,705.3B 103,467.4B n/a 73,089.3B n/a 63,142.8B 52,423.2B 47,043.4B 44,031.4B 40,463.2B n/a 43,893.7B 41,506.4B 44,239.6B 51,027.6B 42,621.8B 27,792.6B 24,605.5B 17,292.4B 17,415.3B 20,164.3B 16,633.5B 11,689.7B 6,040.5B
Other Long-Term Liabilities 554,172.7B 529,145.9B 513,236.4B -104,046.2B -559.11B -75,083.3B n/a -63,142.8B -52,423.2B 252,651.1B 236,142.3B 225,208.4B 257.04B -43,640B -41,506.4B -44,239.6B -51,027.6B -42,621.8B -27,792.6B -24,605.5B -17,292.4B -17,415.3B -20,164.3B -16,633.5B -11,689.7B -6,040.5B
Total Long-Term Liabilities 691,013.5B 650,534.9B 651,323.2B 105,808.8B 92,393.3B 90,203.9B 75,401B 300.14B 280.52B 300,135.8B 280,521.2B 265,958.6B 257.02B 253.89B 30,080.1B 39,569.9B 45,148B 42,646B 27,792.6B 24,605.5B 17,292.4B 17,415.3B 20,164.3B 16,633.5B 11,689.7B 6,040.5B
Total Liabilities 698,030.4B 656,864.8B 651,527.9B 105,808.8B 92,393.3B 479,418.8B 443,875.3B 402,740.8B 344,412.3B 300,162.7B 280,843B 266,185.3B 257,302.5B 254,501B 243,567.6B 244,057.1B 242,732.1B 200,810.4B 169,964.2B 165,331.2B 164,081.7B 186,027.3B 175,183.9B 160,355.2B 87,158.9B 43,521B
Total Debt 136,840.9B 121,389B 140,415.6B 103,467.4B 90,349.3B 88,754.4B 74,342.2B 63,142.8B 52,423.2B 47,043.4B 44,031.4B 41,140.9B 39,041.6B 43,893.7B 42,615B 54,493.3B 54,471.4B 50,426.6B 37,929.4B 30,658.5B 32,397.5B 39,543.9B 43,883.3B 32,953.6B 21,107.4B 6,040.5B
Common Stock 2,090.6B 2,090.6B 2,090.6B 2,090.6B 2,090.6B 2,090.6B 2,090.6B 2,090.6B 2,090.6B 1,931.8B 1,931.8B 1,931.8B 1,931.8B 1,931.8B 1,931.8B 1,931.8B 1,781.8B 1,682.8B 1,604.3B 1,664.1B 1,624.9B 1,763.7B 1,641.2B 1,589.1B 1,503.4B 545.31B
Retained Earnings 34,808.2B 31,934.6B 28,466.5B 25,672.8B 22,517.4B 19,709.5B 17,282.4B 15,044.2B 12,229.2B 10,464.1B 9,067.1B 7,530.2B 6,377.5B 4,952.8B 1,191.7B 1,177.7B 10,032.8B 10,019.5B 6,930.6B 4,314.1B 1,751.1B 796.7B 2,031.9B 277.19B 710.7B 349.45B
Comprehensive Income 5,579.5B 2,295.2B -2,713.1B 1,054.9B 612.34B 348.02B 177.81B 537.67B 405.33B 430.24B 461.68B 336.31B 359.97B 191.64B 1,312.9B 1,232.3B 389.91B -133.06B 404.89B -55.95B 106.19B 64.16B 165.64B 810.58B -17.16B 22.71B
Shareholders Equity 57,889B 56,929.8B 48,362.8B 47,460.6B 42,503.7B 38,533.9B 35,703.9B 34,038.7B 30,998B 28,680.6B 27,315.1B 25,652.8B 24,509.5B 22,918B 17,945.8B 17,851.6B 15,594.7B 16,975.2B 14,090.4B 11,271.7B 7,421.8B 6,887.4B 8,835B 7,638B 4,050.9B 1,755.6B
Total Investments n/a 281,660.3B 240,506.4B 232,748.9B 223,040.7B 125,929.9B 113,675.5B 100,222.5B 75,337.3B 54,246.6B 48,605.4B 44,933.2B 46,718.2B 42,650.4B 43,526.3B 42,535.6B 29,209.5B 31,296.5B 27,749.6B 29,807B 28,200.8B 31,358B 30,818.6B 32,437B 20,718.8B 7,019.4B