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KB KB Financial

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  • 57.030
  • -0.670-1.16%
Trading Dec 30 15:52 ET
21.36BMarket Cap7.24P/E (TTM)

KB Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-13.69%4.11T
-113.92%-1.2T
963.02%2.35T
1,104.63%5.1T
30.09%-2.14T
335.04%4.76T
955.98%8.6T
-118.42%-272.06B
19.39%-507.52B
16.96%-3.06T
Net income from continuing operations
16.08%4.56T
302.76%211.4B
-0.12%1.35T
23.90%1.5T
1.88%1.5T
-10.33%3.93T
-117.79%-104.27B
3.34%1.35T
0.60%1.21T
14.52%1.47T
Operating gains losses
-158.05%-1.03T
-151.42%-909.24B
144.54%310.28B
-29.68%108.36B
-198.35%-539.33B
467.92%1.77T
524.17%1.77T
-597.42%-696.62B
234.31%154.1B
267.30%548.35B
Depreciation and amortization
-1.47%865.93B
75.78%232.51B
-39.78%216.55B
7.17%211.33B
8.32%205.53B
-12.70%878.84B
-50.39%132.28B
42.50%359.62B
-15.58%197.2B
-25.33%189.75B
Other non cashItems
19.27%-5.36T
88.28%-1.06T
-112.98%-833.39B
25.39%-1.3T
4.00%-2.16T
-277.62%-6.64T
-1,386.67%-9.06T
646.28%6.42T
-277.66%-1.75T
-289.12%-2.25T
Change in working capital
-36.28%1.86T
-107.17%-1.06T
110.30%825.03B
710.82%3.91T
43.15%-1.82T
124.34%2.91T
1,682.63%14.76T
-657.53%-8.01T
79.94%-640.1B
52.74%-3.2T
-Change in receivables
62.58%-39.63B
-49.76%18.58B
43.27%-19.92B
-2.24%-23.81B
82.86%-14.48B
-1,100.77%-105.89B
1,373.36%36.99B
-17.48%-35.11B
-141.99%-23.29B
-599.23%-84.48B
-Change in payables and accrued expense
-354.60%-853.35B
-1,095.21%-175.03B
-489.65%-187.51B
558.39%375.69B
-346.57%-866.5B
427.73%335.18B
-84.13%17.59B
318.93%48.12B
75.72%-81.96B
210.92%351.42B
-Change in loans
26.52%-15.56T
-131.50%-4.97T
61.73%-7.77T
60.84%-3.47T
108.36%652.15B
48.94%-21.18T
199.01%15.79T
-216.14%-20.29T
34.17%-8.87T
-38.26%-7.8T
-Change in deferred charges
155.21%194.96B
-380.66%-211.51B
244.01%218.8B
-4,892.61%-1.23T
876.38%1.42T
-275.54%-353.13B
-185.26%-44.01B
-181.85%-151.93B
150.11%25.71B
-171.79%-182.91B
-Change in other current assets
-148.45%-3.78T
89.82%7.66T
-170.22%-1.31T
-107.22%-3.27T
-17.28%-6.85T
-260.13%-1.52T
-60.90%4.03T
139.95%1.87T
-127.57%-1.58T
43.91%-5.84T
-Change in other current liabilities
492.50%9.95T
21.65%-9.52T
57.49%3.77T
183.94%5.67T
91.96%10.04T
-292.89%-2.54T
-150.36%-12.16T
409.93%2.39T
2,084.07%2T
-25.74%5.23T
-Change in other working capital
-57.76%11.94T
-13.26%6.15T
-25.01%6.12T
-25.65%5.87T
-220.92%-6.2T
4.14%28.27T
-24.50%7.09T
-25.00%8.16T
58.13%7.9T
172.18%5.13T
Cash from discontinued operating activities
Operating cash flow
-13.69%4.11T
-113.92%-1.2T
963.02%2.35T
1,104.63%5.1T
30.09%-2.14T
335.04%4.76T
955.98%8.6T
-118.42%-272.06B
19.39%-507.52B
16.96%-3.06T
Investing cash flow
Cash flow from continuing investing activities
82.08%-3.52T
82.63%-1.5T
-40.91%-3.74T
35.61%-2.47T
193.36%4.2T
-409.23%-19.64T
-2,941.78%-8.65T
8.13%-2.66T
-11.34%-3.84T
-306.46%-4.49T
Net investment purchase and sale
87.27%-2.64T
88.35%-927.51B
-9.73%-3.74T
38.53%-2.73T
196.71%4.76T
-431.41%-20.73T
-16,880.10%-7.96T
-25.30%-3.41T
-29.49%-4.43T
-323.80%-4.92T
Net PPE purchase and sale
-28.67%-341.96B
-10.68%-159.69B
-83.71%-78.89B
-120.92%-70.51B
29.49%-32.87B
4.95%-265.76B
-15.18%-144.27B
45.70%-42.94B
-3.97%-31.92B
-4.63%-46.62B
Net intangibles purchase and sale
-66.80%-325.07B
-33.62%-42.16B
-10.46%-98.72B
85.52%-6.16B
-466.97%-178.02B
-6.21%-194.88B
58.85%-31.56B
-516.76%-89.37B
34.21%-42.56B
-13.67%-31.4B
Net business purchase and sale
39.10%1.3T
328.37%801.16B
-92.30%25.67B
518.33%757.65B
-199.32%-287.48B
148.65%932.43B
-19.43%187.03B
5,309.66%333.42B
69.76%122.53B
275.46%289.45B
Net other investing changes
-2,489.23%-496.25B
-407.74%-281.71B
121.17%153.99B
-177.94%-427.34B
-72.72%58.81B
-125.52%-19.17B
-211.66%-55.48B
-1,514.97%-727.51B
61,432.88%548.26B
901.59%215.56B
Cash from discontinued investing activities
Investing cash flow
82.08%-3.52T
82.63%-1.5T
-40.91%-3.74T
35.61%-2.47T
193.36%4.2T
-409.23%-19.64T
-2,941.78%-8.65T
8.13%-2.66T
-11.34%-3.84T
-306.46%-4.49T
Financing cash flow
Cash flow from continuing financing activities
-108.16%-1.24T
3,008.92%691.86B
-12.38%2.77T
-102.79%-187.28B
-184.65%-4.51T
40.28%15.18T
-100.60%-23.78B
22.88%3.16T
100.96%6.71T
480.10%5.33T
Net issuance payments of debt
-115.36%-2.36T
247.94%1T
-77.41%780.83B
-90.51%659.98B
-202.49%-4.81T
35.87%15.39T
-93.55%288.4B
30.98%3.46T
52.61%6.95T
1,482.01%4.69T
Net commonstock issuance
---571.75B
---198.05B
---101.95B
--0
---271.75B
--0
----
----
--0
--0
Cash dividends paid
19.88%-1.15T
-0.09%-195B
-0.59%-195.97B
----
----
-46.43%-1.44T
---194.82B
33.33%-194.82B
----
----
Net other financing activities
131.70%2.85T
169.39%81.44B
2,392.19%2.29T
-110.71%-86.32B
-11.65%566.21B
157.47%1.23T
75.57%-117.37B
-144.08%-99.78B
252.84%805.64B
-49.08%640.9B
Cash from discontinued financing activities
Financing cash flow
-108.16%-1.24T
3,008.92%691.86B
-12.38%2.77T
-102.79%-187.28B
-184.65%-4.51T
40.28%15.18T
-100.60%-23.78B
22.88%3.16T
100.96%6.71T
480.10%5.33T
Net cash flow
Beginning cash position
1.93%26.53T
184.65%27.96T
0.75%26.56T
0.99%24.1T
1.93%26.53T
29.57%26.03T
13.35%9.82T
254.46%26.36T
191.16%23.86T
199.75%26.03T
Current changes in cash
-313.43%-649.75B
-2,714.75%-2.01T
488.90%1.38T
3.20%2.44T
-10.59%-2.46T
-93.84%304.44B
-101.40%-71.33B
-79.83%233.61B
420.95%2.37T
-276.08%-2.22T
Effect of exchange rate changes
-129.65%-58.47B
12.16%-123.36B
-83.67%25.2B
-86.63%17.66B
-57.00%22.04B
-18.36%197.2B
-253.37%-140.44B
118.50%154.29B
703.22%132.09B
-49.37%51.26B
End cash position
-2.67%25.83T
-2.67%25.83T
184.65%27.96T
0.75%26.56T
0.99%24.1T
4.99%26.53T
4.99%26.53T
13.35%9.82T
254.46%26.36T
191.16%23.86T
Free cash flow
-19.58%3.43T
-116.62%-1.4T
611.77%2.16T
945.57%5.02T
25.17%-2.35T
270.27%4.26T
1,264.32%8.42T
-130.48%-422.05B
18.48%-593.78B
16.77%-3.14T
Currency Unit
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -13.69%4.11T-113.92%-1.2T963.02%2.35T1,104.63%5.1T30.09%-2.14T335.04%4.76T955.98%8.6T-118.42%-272.06B19.39%-507.52B16.96%-3.06T
Net income from continuing operations 16.08%4.56T302.76%211.4B-0.12%1.35T23.90%1.5T1.88%1.5T-10.33%3.93T-117.79%-104.27B3.34%1.35T0.60%1.21T14.52%1.47T
Operating gains losses -158.05%-1.03T-151.42%-909.24B144.54%310.28B-29.68%108.36B-198.35%-539.33B467.92%1.77T524.17%1.77T-597.42%-696.62B234.31%154.1B267.30%548.35B
Depreciation and amortization -1.47%865.93B75.78%232.51B-39.78%216.55B7.17%211.33B8.32%205.53B-12.70%878.84B-50.39%132.28B42.50%359.62B-15.58%197.2B-25.33%189.75B
Other non cashItems 19.27%-5.36T88.28%-1.06T-112.98%-833.39B25.39%-1.3T4.00%-2.16T-277.62%-6.64T-1,386.67%-9.06T646.28%6.42T-277.66%-1.75T-289.12%-2.25T
Change in working capital -36.28%1.86T-107.17%-1.06T110.30%825.03B710.82%3.91T43.15%-1.82T124.34%2.91T1,682.63%14.76T-657.53%-8.01T79.94%-640.1B52.74%-3.2T
-Change in receivables 62.58%-39.63B-49.76%18.58B43.27%-19.92B-2.24%-23.81B82.86%-14.48B-1,100.77%-105.89B1,373.36%36.99B-17.48%-35.11B-141.99%-23.29B-599.23%-84.48B
-Change in payables and accrued expense -354.60%-853.35B-1,095.21%-175.03B-489.65%-187.51B558.39%375.69B-346.57%-866.5B427.73%335.18B-84.13%17.59B318.93%48.12B75.72%-81.96B210.92%351.42B
-Change in loans 26.52%-15.56T-131.50%-4.97T61.73%-7.77T60.84%-3.47T108.36%652.15B48.94%-21.18T199.01%15.79T-216.14%-20.29T34.17%-8.87T-38.26%-7.8T
-Change in deferred charges 155.21%194.96B-380.66%-211.51B244.01%218.8B-4,892.61%-1.23T876.38%1.42T-275.54%-353.13B-185.26%-44.01B-181.85%-151.93B150.11%25.71B-171.79%-182.91B
-Change in other current assets -148.45%-3.78T89.82%7.66T-170.22%-1.31T-107.22%-3.27T-17.28%-6.85T-260.13%-1.52T-60.90%4.03T139.95%1.87T-127.57%-1.58T43.91%-5.84T
-Change in other current liabilities 492.50%9.95T21.65%-9.52T57.49%3.77T183.94%5.67T91.96%10.04T-292.89%-2.54T-150.36%-12.16T409.93%2.39T2,084.07%2T-25.74%5.23T
-Change in other working capital -57.76%11.94T-13.26%6.15T-25.01%6.12T-25.65%5.87T-220.92%-6.2T4.14%28.27T-24.50%7.09T-25.00%8.16T58.13%7.9T172.18%5.13T
Cash from discontinued operating activities
Operating cash flow -13.69%4.11T-113.92%-1.2T963.02%2.35T1,104.63%5.1T30.09%-2.14T335.04%4.76T955.98%8.6T-118.42%-272.06B19.39%-507.52B16.96%-3.06T
Investing cash flow
Cash flow from continuing investing activities 82.08%-3.52T82.63%-1.5T-40.91%-3.74T35.61%-2.47T193.36%4.2T-409.23%-19.64T-2,941.78%-8.65T8.13%-2.66T-11.34%-3.84T-306.46%-4.49T
Net investment purchase and sale 87.27%-2.64T88.35%-927.51B-9.73%-3.74T38.53%-2.73T196.71%4.76T-431.41%-20.73T-16,880.10%-7.96T-25.30%-3.41T-29.49%-4.43T-323.80%-4.92T
Net PPE purchase and sale -28.67%-341.96B-10.68%-159.69B-83.71%-78.89B-120.92%-70.51B29.49%-32.87B4.95%-265.76B-15.18%-144.27B45.70%-42.94B-3.97%-31.92B-4.63%-46.62B
Net intangibles purchase and sale -66.80%-325.07B-33.62%-42.16B-10.46%-98.72B85.52%-6.16B-466.97%-178.02B-6.21%-194.88B58.85%-31.56B-516.76%-89.37B34.21%-42.56B-13.67%-31.4B
Net business purchase and sale 39.10%1.3T328.37%801.16B-92.30%25.67B518.33%757.65B-199.32%-287.48B148.65%932.43B-19.43%187.03B5,309.66%333.42B69.76%122.53B275.46%289.45B
Net other investing changes -2,489.23%-496.25B-407.74%-281.71B121.17%153.99B-177.94%-427.34B-72.72%58.81B-125.52%-19.17B-211.66%-55.48B-1,514.97%-727.51B61,432.88%548.26B901.59%215.56B
Cash from discontinued investing activities
Investing cash flow 82.08%-3.52T82.63%-1.5T-40.91%-3.74T35.61%-2.47T193.36%4.2T-409.23%-19.64T-2,941.78%-8.65T8.13%-2.66T-11.34%-3.84T-306.46%-4.49T
Financing cash flow
Cash flow from continuing financing activities -108.16%-1.24T3,008.92%691.86B-12.38%2.77T-102.79%-187.28B-184.65%-4.51T40.28%15.18T-100.60%-23.78B22.88%3.16T100.96%6.71T480.10%5.33T
Net issuance payments of debt -115.36%-2.36T247.94%1T-77.41%780.83B-90.51%659.98B-202.49%-4.81T35.87%15.39T-93.55%288.4B30.98%3.46T52.61%6.95T1,482.01%4.69T
Net commonstock issuance ---571.75B---198.05B---101.95B--0---271.75B--0----------0--0
Cash dividends paid 19.88%-1.15T-0.09%-195B-0.59%-195.97B---------46.43%-1.44T---194.82B33.33%-194.82B--------
Net other financing activities 131.70%2.85T169.39%81.44B2,392.19%2.29T-110.71%-86.32B-11.65%566.21B157.47%1.23T75.57%-117.37B-144.08%-99.78B252.84%805.64B-49.08%640.9B
Cash from discontinued financing activities
Financing cash flow -108.16%-1.24T3,008.92%691.86B-12.38%2.77T-102.79%-187.28B-184.65%-4.51T40.28%15.18T-100.60%-23.78B22.88%3.16T100.96%6.71T480.10%5.33T
Net cash flow
Beginning cash position 1.93%26.53T184.65%27.96T0.75%26.56T0.99%24.1T1.93%26.53T29.57%26.03T13.35%9.82T254.46%26.36T191.16%23.86T199.75%26.03T
Current changes in cash -313.43%-649.75B-2,714.75%-2.01T488.90%1.38T3.20%2.44T-10.59%-2.46T-93.84%304.44B-101.40%-71.33B-79.83%233.61B420.95%2.37T-276.08%-2.22T
Effect of exchange rate changes -129.65%-58.47B12.16%-123.36B-83.67%25.2B-86.63%17.66B-57.00%22.04B-18.36%197.2B-253.37%-140.44B118.50%154.29B703.22%132.09B-49.37%51.26B
End cash position -2.67%25.83T-2.67%25.83T184.65%27.96T0.75%26.56T0.99%24.1T4.99%26.53T4.99%26.53T13.35%9.82T254.46%26.36T191.16%23.86T
Free cash flow -19.58%3.43T-116.62%-1.4T611.77%2.16T945.57%5.02T25.17%-2.35T270.27%4.26T1,264.32%8.42T-130.48%-422.05B18.48%-593.78B16.77%-3.14T
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------
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