KB Financial Group Inc.KB

Market cap
P/E ratio
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Profit (loss)3,1322,7512,8673,2253,6983,3123,5353,403
Net losses (gains) on financial assets at fair value through profit or loss----2323471,389-20
Net losses on derivative financial instruments for hedging purposes-----181-112-41-114
Provision for credit losses5146055809611,0001,4572,4371,383
Net losses on financial investments-----83-188-198-70
Share of loss (profit) of associates and joint ventures--------11
Depreciation and amortization expense----718697671620
Other net losses (gains) on property and equipment/intangible assets-----2200-102-98
Share-based payments----86465495
Post-employment benefits----200198121120
Net interest expense (income)-------213-4
Losses (gains) on foreign currency translation-----561532155420
Insurance finance income------6,0277,391
Reinsurance finance expense------1,0211,123
Other expenses----609636641537
Adjustment for non-cash items (Sub-total)----4,6824,211-1,789-2,775
Financial asset at fair value through profit or loss-----5,1872,477-4,840-474
Derivative financial instruments----33433-118-141
Loans measured at fair value through other comprehensive income-----21-39-196-437
Loans measured at amortized cost-----34,971-16,767-11,858-18,619
Current income tax assets----9-84-31-65
Deferred income tax assets-----78-73-654
Other assets-----3,142-970-2,929943
Financial liabilities at fair value through profit or loss----641994-1,137-124
Deposits----27,41313,1469,44716,119
Current income tax liabilities-----86266-661261
Deferred income tax liabilities----248-121216249
Other liabilities----1,109-2,2727,709-3,349
Insurance contract assets------11331
Reinsurance contract assets------1,1391,014
Insurance contract liabilities------7,0077,990
Reinsurance contract liabilities------2933
Investment contract liabilities------115749
Changes in operating assets and liabilities (Sub-total)----14,0323,010-1,437-2,092
Net cash inflow (outflow) from operating activities-----5,6524,5123,1832,720
Net cash flows from derivative financial instruments for hedging purposes----0-132-37-30
Disposal of financial asset at fair value through profit or loss----11,6317,5499,59710,588
Acquisition of financial asset at fair value through profit or loss----10,37410,1638,76311,074
Disposal of financial investments----42,87320,62733,67430,602
Acquisition of financial investments----47,77234,60836,50432,025
Proceeds from sales of interests in associates----5721337767
Acquisition of investments in associates and joint ventures----22134289230
Disposal of property and equipment----625613
Acquisition of property and equipment----242236271228
Disposal of investment property----1491,0253179
Acquisition of investment property----10051678960
Disposal of intangible assets----74414
Acquisition of intangible assets----162188256196
Net cash flows from changes in ownership of subsidiaries-------60
Others----63-17-384-269
Net cash outflow from investing activities-----3,253-16,097-2,726-2,588
Net cash flows from derivative financial instruments for hedging purposes----527-57-147
Net increase (decrease) in borrowings----6,17611,641-1,722-2,949
Increase in debentures----102,71485,39064,89558,214
Decrease in debentures----99,12284,61664,82254,706
Increase(decrease) in other payables to trust accounts--------61
Dividends paid to shareholders of the Parent Company----8281,1418921,006
Issuance of hybrid securities----9641,267464270
Repayment on hybrid securities-------236,829
Dividends paid on hybrid securities----60100143135
Acquisition of treasury shares------443555
Redemption of principal of lease liabilities----214204182211
Increase in non-controlling interests-------78,013
Others-----56551-423-19
Net cash inflow from financing activities----9,12812,156-960-1,342
Effect of exchange rate changes on cash and cash equivalents----133135-45386
Net increase (decrease) in cash and cash equivalents----357706-549-824