KB Financial Group Inc.

KRX:105560.KS

113600 (KRW) • At close July 16, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) KRW.

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Operationele Activiteiten:
Nettowinst 4,878,422.24,631,9324,173,2394,384,3813,502,2813,313,1993,061,9463,343,4612,190,1801,727,3061,415,1111,263,7051,711,9882,428,572100,183527,4941,325,9643,757,232.2182,947,918.9122,687,422.805996,766-993,1151,251,677.342992,299.608594,542.35540,665
Afschrijvingen & Amortisatie 916,295865,9271,016,4581,006,6881,048,777976,890623,634550,343289,438257,457261,197286,858328,642342,656429,103494,140407,187419,118.915308,843.253348,877.786425,683551,482.5442,760.379179,040.736162,407.07976,795
Uitgestelde Inkomstenbelasting 000702,908180,329129,609570,941524,890808,9981,079,2081,521,3951,810,2721,657,6041,158,2203,089,2632,549,0002,667,072156,928.8390000000-45,426
Aandelen Gebaseerde Vergoedingen 140,45369,70358,275101,93549,36449,41810,93073,37038,19017,42911,42217,28913,871-7,6097,99830,413-20,139000000000
Verandering in Werkkapitaal 3,091,9521,855,093-3,793,383-16,635,219-19,869,1482,681,695-15,317,421-11,417,417-2,426,441-2,066,945-941,958-10,775,4132,737,726-8,891,095-6,129,845-4,363,158-449,615-1,958,580.528865,217.7741,218,799.841-60,291311,903.75926,077.105358,646.519540,075.852297,046
Vorderingen -95,5390000000000000-260,9591,602,5700000000000
Voorraden 00000000000000-4,834,515-3,763,2110000000000
Crediteuren 00000000000000-992,565-2,361,988765,56500000000189,961
Overig Werkkapitaal 3,187,4911,855,093-3,793,383-16,635,219-19,869,1482,681,695-15,317,421-11,417,417-2,426,441-2,066,945-941,958-10,775,4132,737,726-8,891,095-41,806159,471-1,215,18000000000107,085
Overige Niet-Contante Posten -5,006,936.2-3,313,8394,231,4953,739,0423,547,7032,249,8952,092,3522,089,328224,6221,179,1761,009,5791,051,7621,538,204962,066887,322215,383-506,699153,514.982-234,095.626355,796.9423,359,8687,194,736.253,375,005.931,381,109.071,087,353.98-671,104
Kasstroom uit Operationele Activiteiten 4,020,1864,108,8165,686,084-6,700,265-11,540,6949,400,706-8,957,618-4,836,0251,124,9872,193,6313,276,746-6,345,5277,988,035-4,007,190-1,615,976-546,7283,423,7701,806,103.9363,887,884.3144,610,897.3734,722,0267,065,007.55,995,520.7572,911,095.9342,384,379.261197,976
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -337,178-350,138-534,195-478,309-607,721-942,293-578,433-410,262-508,760-281,336-232,762-221,560-225,727-367,246-309,481-265,354-454,877-378,639.514-299,909.517-129,399.42-217,732-364,270-613,772.242-384,561.1050-256,055
Netto Overnames 107,1441,305,178932,428374,992-1,951,24591,592188,140-405,81795,304-49,703-266,899322,64140,575-94,129-1,189,015-11,817-380,227378,639.514299,909.517129,399.42217,732364,270613,772.2421,097,377.138-15,692,994.904110,717
Aankoop van Beleggingen -64,077,261-58,600,272-57,015,973-69,194,669-106,709,707-91,742,238-73,623,877-46,591,670-32,295,879-26,592,634-19,480,751-23,044,252-26,353,651-22,094,565-346,718-43,670-26,033,792-17,015,114.268-23,231,956.818-19,391,027.288-18,043,349-46,430,081.25-12,320,166.069-14,677,063.1110-17,205,900
Verkoop/verval van Beleggingen 61,352,17256,686,75935,674,49365,293,57697,523,46780,879,93270,433,62238,191,60128,172,77121,688,66219,713,36825,675,70324,859,79222,887,2639,47818,31923,452,39617,813,089.92523,952,988.48418,255,373.24517,606,50646,330,933.7516,240,085.40417,714,668.913,838,810.33212,018,171
Overige Investeringsactiviteiten -869,932-2,561,019657,532148,396756,796-621,417-899,738486,72998,026159,681-1,417,2531,446,285-826,291357,2292,880,141-1,360,812-29,208,038-22,280,733.193-14,629,184.733-1,905,771.964,259,326-8,556,261.25-26,302,813.751-14,807,971.127-15,645,506.914-104,063
Kasstroom uit Investeringsactiviteiten -3,825,055-3,519,492-20,285,715-3,856,014-10,988,410-12,334,424-4,480,286-8,729,419-4,438,538-5,075,330-1,684,2974,178,817-2,505,302688,5521,044,405-1,663,334-32,624,538-21,482,757.536-13,908,153.067-3,041,426.0033,822,483-8,655,408.75-22,382,894.417-11,057,549.304-17,499,691.486-5,437,130
Financieringsactiviteiten:
Schuldaflossingen 874,146-2,363,90315,388,18011,325,78822,392,3772,307,64112,638,97314,737,4212,670,5623,379,323448,437844,081-3,459,5723,511,684-11,686,800-9,203,34210,823,2479,714,3237,199,842.966-2,494,987.51-4,061,276-6,513,506.259,565,391.4561,159,306.1791,587,627.053,959,140
Uitgifte van Gewone Aandelen 00001,296,783003,515000002,281,52401,361,8451,5958,21211,000000000325,036
Terugkoop van Gewone Aandelen -820,000-571,74500-1,296,783-274,317-224,700-185,532-716,808000000-2,294-3,411,293-6,24700000000
Uitgekeerde Dividenden -1,486,978-1,151,900-1,437,750-981,879-883,952-766,249-766,728-497,969-378,625-301,354-193,176-231,811-278,173-87,494-93,021-3,032-825,600-1,228,478.467-176,355.007-166,788.248-1,610-343,652.5-53,916.963-162,596.58400
Overige Financieringsactiviteiten -551,0052,848,47917,795,44132,975,41131,135,5131,010,53396,22719,489,5211,606,19712,780,1029,658,3481,094,8694,981,358-977,16412,179,11510,285,60422,835,77010,176,5855,223,976.781118,820.825-4,788,1859,567,7907,335,908.6578,486,605.80314,617,845.728572,434
Kasstroom uit Financieringsactiviteiten -1,983,837-1,239,06915,318,24310,821,39825,262,2762,277,60811,743,77214,688,7463,181,3263,255,265-755,0661,707,139-3,646,2544,774,881413,4182,441,81329,423,71918,674,115.20810,694,750.256-1,299,118.617-8,847,4961,423,876.2516,699,339.2599,480,735.89716,205,472.7794,856,610
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 570,985-58,465170,639158,249-171,805137,019-67,950-133,24089,14265,55712,22741,452-13,56032,982-20,214-62,97379,996-2,084.27-17,305.952-5,171.38-37,6901,478.75-25,125.7415,509.8550-1,159
Netto Kasstroomverandering -1,217,721-708,210889,251423,3682,561,367-519,091-1,762,082990,062-43,083439,123849,610-418,1191,822,9191,489,22518,852236,357302,947-1,004,622.661657,175.55265,181.373-340,677-165,046.25286,839.8581,339,792.3821,090,160.554-383,703
Kaspositie aan het Einde van de Periode 24,608,86725,826,58826,162,5249,108,4608,685,0926,123,7256,642,8168,404,8987,414,8367,457,9197,018,7966,169,1866,563,7234,740,8043,635,8023,616,9503,073,4102,772,030.9053,600,302.4823,052,855.0032,721,9803,324,408.753,327,374.8513,041,986.8676,426,027.7971,280,960