KT Corporation (KT) Cash Flow Statement Analysis - Operating Cash Flow, CapEx & Free Cash Flow - Stocknear

KT Corporation

NYSE: KT · Real-Time Price · USD
19.68
-0.20 (-1.01%)
At close: Oct 03, 2025, 3:59 PM
19.60
-0.38%
After-hours: Oct 03, 2025, 07:31 PM EDT

KT Cash Flow Statement

Financials in KRW. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
903.21B 619.44B 427.91B 1,262.4B 972.61B 945.36B 889.95B 1,078.2B 1,311B 1,252.1B 1,387.7B 1,569.3B 1,580.9B 1,588.3B 1,459.4B 1,074.2B 966.49B 803.28B
Depreciation & Amortization
3,936.1B 4,094.8B 4,100.2B 4,599B 4,051B 4,064.5B 3,867.8B 3,328.2B 3,815.1B 3,596.7B 3,710.7B 3,690.9B 3,679B 3,642B 3,647.4B 3,638.2B 3,644.1B 3,658.3B
Stock-Based Compensation
n/a 929M 929M 16.38B 16.38B 15.45B 15.45B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Working Capital
-497.52B 360.9B 364.08B -436.15B -30.98B -191.72B -375.77B -650.09B -1,442B -1,088.4B -872.92B -748.97B 153.23B -316.68B -375.87B -151.36B -645.34B -352.8B
Other Non-Cash Items
-117.6B -255.88B -14.68B 88.4B 913.8B 1,053.4B 855.95B 744.92B -438.43B -529.71B -551.83B 5,617.5B 5,589.6B 5,684.8B 5,829.6B -266.51B -179.43B -210.92B
Deferred Income Tax
269.37B 197.76B 188.71B 431.92B 277.43B 243.18B 215.02B 245.52B 386.88B 427.44B 506.4B 558.77B 588.55B 564.13B 519.02B 382.68B 324.38B 272.75B
Change in Working Capital
-475.29B -75.3B 362.73B -958.1B 50.75B -464.44B -242.83B -447.07B -974.05B -1,127.4B -1,455.8B -765.11B -343.87B -2.21B 273B 201.35B -176.32B -220.59B
Operating Cash Flow
4,515.8B 4,581.8B 5,065.8B 5,440B 6,062.1B 5,759.4B 5,503.3B 4,851.7B 4,222.4B 3,619.1B 3,597.1B 4,608.3B 4,956.6B 5,234.6B 5,561.8B 5,219.9B 4,965.4B 4,978.8B
Capital Expenditures
-4,123B -4,070B -3,265.9B -3,551.3B -3,527.9B -3,922.3B -4,172.7B -3,844.1B -4,023.8B -3,764.7B -3,987.1B -4,191.8B -4,123.4B -4,327.8B -4,251.5B -4,100.1B -3,891.6B -3,725.6B
Cash Acquisitions
124.64B 47.51B -3.88B -29.25B -67.84B -66.59B -104.42B -134.33B -117.81B -141.27B -280.49B -285.88B -1,270.3B -1,264.2B -1,109B -1,081.9B -306.38B -311.15B
Purchase of Investments
-1,379.4B -1,319.3B -1,367.2B -1,258.6B -1,756.4B -2,401.7B -2,106.8B -2,616.4B -2,309.1B -2,869.7B -3,217.1B -3,010.5B -2,936.1B -1,666.8B -1,509.5B -1,184.6B -1,155.8B -1,238B
Sales Maturities Of Investments
1,246.4B 1,431B 1,796.5B 1,898.4B 1,675.9B 2,181B 1,635.3B 2,015.4B 2,312B 2,098.4B 2,442.7B 2,038.1B 1,784.2B 1,481B 1,545.3B 1,596.5B 1,552.8B 1,611.7B
Other Investing Acitivies
-357.67B -334.21B -53.2B -1.33B 51.81B 116.31B 119.76B 114.1B 113.19B 116.38B 203.44B 281.36B 278.84B 236.04B 187.16B 56.01B 174.19B 191.57B
Investing Cash Flow
-4,095.1B -3,892B -2,845.8B -2,885.7B -3,616B -4,084.8B -4,620.5B -4,465.3B -4,025.6B -4,560.8B -4,838.6B -5,168.7B -6,266.7B -5,541.9B -5,137.5B -4,714.1B -3,626.7B -3,471.5B
Debt Repayment
214.73B 291.79B -452.39B -774.46B -336.23B -759.95B -189.64B -160.34B -448.86B 1,073.9B 889.84B 871.79B 1,443.4B 466.27B 505.83B 156.34B -602.37B 216.28B
Common Stock Repurchased
-231.5B -79.32B -59.22B -35.09B -35.09B -213.2B -308.07B -300.09B -300.09B -121.97B n/a -942M -1M -1.02B -193.63B -306.43B -308.31B -307.29B
Dividend Paid
-534.31B -872.34B -872.35B -749.4B -626.99B -526.84B -526.83B -526.81B -526.27B -476.8B -476.8B -476.88B -476.88B -350.27B -350.33B -350.35B -350.4B -224M
Other Financial Acitivies
139.08B 97.84B -5.77B -149.65B 532.12B 474.77B 579.51B 600.06B 43.66B 113.73B 229.88B 167.12B 64.03B 120.4B -3.15B 84.5B 73B 19B
Financial Cash Flow
-411.99B -562.02B -1,389.7B -1,708.6B -466.18B -1,025.2B -452.79B -368.52B -1,212.9B 607.46B 669.33B 561.09B 1,030.6B 235.39B -41.28B -408.99B -1,183.1B -380.2B
Net Cash Flow
7.69B 132.31B 837.13B 843.52B 1,981.2B 2,134.3B 1,913.2B 1,498B 466.53B -333.12B -570.53B 6.15B -275.23B -70.86B 384.97B 98B 154.72B 1,126B
Free Cash Flow
392.75B 511.8B 1,799.9B 1,888.7B 2,534.2B 1,837.2B 1,330.6B 1,007.6B 198.61B -145.56B -390.07B 416.55B 833.21B 906.81B 1,310.4B 1,119.8B 1,073.8B 1,253.2B