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WF Woori Financial

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  • 34.130
  • +0.260+0.77%
Close Mar 21 16:00 ET
  • 34.130
  • 0.0000.00%
Post 16:00 ET
8.45BMarket Cap4.01P/E (TTM)

Woori Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-261.90%-2.63T
-16.46%5.29T
-147.55%-2.95T
36.27%-4.75T
93.60%-220.74B
-91.29%1.62T
-74.07%6.33T
1,166.28%6.19T
50.98%-7.45T
-134.51%-3.45T
Net income from continuing operations
20.73%3.17T
378.14%454.07B
-0.12%916.98B
44.11%961.51B
-11.38%838.91B
-22.03%2.63T
-83.52%94.97B
-1.64%918.12B
-32.39%667.19B
8.50%946.62B
Operating gains losses
726.18%2.85T
619.64%3.38T
-280.76%-617.63B
-10.65%-262.83B
292.61%355.02B
-160.46%-455.81B
57.45%-650.38B
-48.80%341.68B
-134.70%-237.53B
5,583.53%90.43B
Depreciation and amortization
17.18%1.16T
15.82%305.63B
22.37%294.01B
18.57%288.16B
12.20%275.99B
6.87%993.18B
6.86%263.9B
3.38%240.27B
5.19%243.03B
12.37%245.98B
Deferred tax
18.06%1.05T
552.10%177.21B
-13.67%283.73B
35.24%285.39B
-5.76%305.05B
-24.43%890.56B
-87.36%27.18B
-7.37%328.66B
-33.22%211.02B
10.63%323.7B
Other non cashItems
-42.19%-12.32T
-169.58%-5.72T
-2.11%-2.22T
-1.97%-2.2T
1.31%-2.19T
0.77%-8.66T
10.96%-2.12T
3.20%-2.17T
-0.65%-2.16T
-12.79%-2.22T
Change in working capital
-227.43%-13.48T
-83.69%1T
-221.91%-5.08T
37.70%-7.05T
24.51%-2.36T
-134.31%-4.12T
-74.03%6.15T
243.94%4.17T
33.07%-11.31T
-138.52%-3.12T
-Change in loans
-16.70%-21.7T
348.71%26.33T
-900.20%-35.68T
63.28%-7.2T
-172.06%-5.15T
-210.65%-18.6T
-159.36%-10.59T
745.45%4.46T
7.13%-19.62T
321.89%7.15T
-Change in other current assets
0.76%-1.25T
66.29%-200.14B
-5.09%-276.09B
-77.91%-382.71B
-105.53%-395.58B
3.86%-1.26T
-177.82%-593.79B
-3.27%-262.7B
35.62%-215.12B
62.46%-192.47B
-Change in other current liabilities
-109.60%-9.17B
-164.32%-37.86B
-1.61%67.53B
34.78%-48.95B
-76.54%10.11B
14.36%95.56B
107.14%58.87B
-29.17%68.64B
39.30%-75.06B
-47.35%43.11B
-Change in other working capital
-39.37%9.49T
-245.25%-25.09T
31,194.32%30.81T
-93.15%588.65B
131.43%3.18T
-18.56%15.65T
186.15%17.27T
96.96%-99.08B
83.60%8.6T
-186.10%-10.13T
Cash from discontinued operating activities
Operating cash flow
-477.90%-6.13T
-71.83%1.78T
-147.55%-2.95T
36.27%-4.75T
93.60%-220.74B
-91.29%1.62T
-74.07%6.33T
1,166.28%6.19T
50.98%-7.45T
-134.51%-3.45T
Investing cash flow
Cash flow from continuing investing activities
98.48%-34.3B
-613.68%-5.79T
420.90%4.78T
-336.96%-1.51T
530.86%2.47T
67.65%-2.25T
79.10%-810.96B
53.78%-1.49T
-111.12%-344.49B
113.25%392.21B
Net investment purchase and sale
210.69%1.07T
-1,153.68%-5.54T
511.55%5.15T
-1,123.26%-1.28T
230.09%2.74T
84.00%-969.26B
86.13%-441.7B
58.79%-1.25T
-103.37%-104.71B
128.18%829.38B
Net PPE purchase and sale
-44.91%-211.13B
35.97%-47.23B
-142.43%-74.13B
-191.88%-56.87B
-50.39%-32.9B
-13.79%-145.7B
-21.52%-73.76B
-9.98%-30.58B
-0.28%-19.48B
-8.78%-21.87B
Net intangibles purchase and sale
17.90%-185.53B
45.65%-44.15B
-8.23%-38.7B
6.61%-67.34B
4.22%-35.35B
-30.05%-225.99B
-52.76%-81.22B
24.59%-35.76B
-74.00%-72.1B
-16.25%-36.91B
Net business purchase and sale
18.95%-672.62B
8.88%-187.72B
4.53%-177.01B
-8.49%-160.78B
49.31%-147.1B
-14.49%-829.83B
65.66%-206.01B
---185.42B
---148.2B
---290.2B
Net other investing changes
-747.91%-102.86B
8,503.97%25.38B
-2,846.40%-140.75B
31,471.50%60.55B
-527.12%-48.03B
-86.17%15.88B
-101.77%-302M
-59.36%5.13B
-100.38%-193M
-66.83%11.25B
Cash from discontinued investing activities
Investing cash flow
98.48%-34.3B
-613.68%-5.79T
420.90%4.78T
-336.96%-1.51T
530.86%2.47T
67.65%-2.25T
79.10%-810.96B
53.78%-1.49T
-111.12%-344.49B
113.25%392.21B
Financing cash flow
Cash flow from continuing financing activities
143.54%1.25T
-493.81%-3.68T
1,342.03%6.68T
61.23%-529.64B
-264.89%-1.23T
-248.98%-2.86T
90.98%-619.25B
-123.14%-537.92B
-134.61%-1.37T
-113.42%-336.82B
Net issuance payments of debt
322.01%2.34T
-388.31%-2.62T
10,557.83%6.58T
-243.65%-215.29B
-255.91%-1.4T
-147.80%-1.06T
92.39%-536.19B
-103.49%-62.93B
-101.20%-62.65B
-117.56%-394.19B
Net commonstock issuance
2.36%-131.87B
99.92%-1M
--0
120.21%4.78B
---136.64B
---135.05B
---1.23B
---110.18B
---23.64B
--0
Cash dividends paid
10.23%-878.33B
1.09%-133.11B
-1.86%-133.11B
----
----
-49.37%-978.38B
---134.58B
-19.67%-130.69B
----
----
Net other financing activities
87.15%-88.79B
-1,855.44%-925.82B
199.71%233.45B
151.69%292.99B
441.38%310.59B
-289.00%-690.81B
-70.74%52.74B
-137.22%-234.13B
20.08%-566.79B
-78.38%57.37B
Cash from discontinued financing activities
Financing cash flow
143.54%1.25T
-493.81%-3.68T
1,342.03%6.68T
61.23%-529.64B
-264.89%-1.23T
-248.98%-2.86T
90.98%-619.25B
-123.14%-537.92B
-134.61%-1.37T
-113.42%-336.82B
Net cash flow
Beginning cash position
-10.70%30.56T
29.33%33.49T
17.43%25.47T
3.06%31.93T
-10.70%30.56T
66.01%34.22T
179.10%25.89T
116.56%21.69T
1.84%30.99T
66.01%34.22T
Current changes in cash
-40.83%-4.92T
-256.87%-7.68T
104.58%8.52T
25.96%-6.78T
130.17%1.02T
-125.73%-3.49T
-64.14%4.9T
381.07%4.16T
-12.38%-9.16T
-135.56%-3.4T
Effect of exchange rate changes
1,065.46%1.64T
735.45%1.48T
-1,478.00%-506.02B
329.95%318.33B
115.24%353.1B
-651.37%-170.15B
86.79%-232.49B
-95.06%36.72B
-117.65%-138.44B
-37.80%164.05B
End cash position
-10.72%27.28T
-10.72%27.28T
29.33%33.49T
17.43%25.47T
3.06%31.93T
-10.70%30.56T
-10.70%30.56T
179.10%25.89T
116.56%21.69T
1.84%30.99T
Free cash flow
-632.36%-6.54T
-72.59%1.69T
-150.06%-3.07T
35.54%-4.87T
91.50%-298.29B
-93.28%1.23T
-74.61%6.17T
1,030.74%6.13T
50.64%-7.55T
-135.29%-3.51T
Currency Unit
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -261.90%-2.63T-16.46%5.29T-147.55%-2.95T36.27%-4.75T93.60%-220.74B-91.29%1.62T-74.07%6.33T1,166.28%6.19T50.98%-7.45T-134.51%-3.45T
Net income from continuing operations 20.73%3.17T378.14%454.07B-0.12%916.98B44.11%961.51B-11.38%838.91B-22.03%2.63T-83.52%94.97B-1.64%918.12B-32.39%667.19B8.50%946.62B
Operating gains losses 726.18%2.85T619.64%3.38T-280.76%-617.63B-10.65%-262.83B292.61%355.02B-160.46%-455.81B57.45%-650.38B-48.80%341.68B-134.70%-237.53B5,583.53%90.43B
Depreciation and amortization 17.18%1.16T15.82%305.63B22.37%294.01B18.57%288.16B12.20%275.99B6.87%993.18B6.86%263.9B3.38%240.27B5.19%243.03B12.37%245.98B
Deferred tax 18.06%1.05T552.10%177.21B-13.67%283.73B35.24%285.39B-5.76%305.05B-24.43%890.56B-87.36%27.18B-7.37%328.66B-33.22%211.02B10.63%323.7B
Other non cashItems -42.19%-12.32T-169.58%-5.72T-2.11%-2.22T-1.97%-2.2T1.31%-2.19T0.77%-8.66T10.96%-2.12T3.20%-2.17T-0.65%-2.16T-12.79%-2.22T
Change in working capital -227.43%-13.48T-83.69%1T-221.91%-5.08T37.70%-7.05T24.51%-2.36T-134.31%-4.12T-74.03%6.15T243.94%4.17T33.07%-11.31T-138.52%-3.12T
-Change in loans -16.70%-21.7T348.71%26.33T-900.20%-35.68T63.28%-7.2T-172.06%-5.15T-210.65%-18.6T-159.36%-10.59T745.45%4.46T7.13%-19.62T321.89%7.15T
-Change in other current assets 0.76%-1.25T66.29%-200.14B-5.09%-276.09B-77.91%-382.71B-105.53%-395.58B3.86%-1.26T-177.82%-593.79B-3.27%-262.7B35.62%-215.12B62.46%-192.47B
-Change in other current liabilities -109.60%-9.17B-164.32%-37.86B-1.61%67.53B34.78%-48.95B-76.54%10.11B14.36%95.56B107.14%58.87B-29.17%68.64B39.30%-75.06B-47.35%43.11B
-Change in other working capital -39.37%9.49T-245.25%-25.09T31,194.32%30.81T-93.15%588.65B131.43%3.18T-18.56%15.65T186.15%17.27T96.96%-99.08B83.60%8.6T-186.10%-10.13T
Cash from discontinued operating activities
Operating cash flow -477.90%-6.13T-71.83%1.78T-147.55%-2.95T36.27%-4.75T93.60%-220.74B-91.29%1.62T-74.07%6.33T1,166.28%6.19T50.98%-7.45T-134.51%-3.45T
Investing cash flow
Cash flow from continuing investing activities 98.48%-34.3B-613.68%-5.79T420.90%4.78T-336.96%-1.51T530.86%2.47T67.65%-2.25T79.10%-810.96B53.78%-1.49T-111.12%-344.49B113.25%392.21B
Net investment purchase and sale 210.69%1.07T-1,153.68%-5.54T511.55%5.15T-1,123.26%-1.28T230.09%2.74T84.00%-969.26B86.13%-441.7B58.79%-1.25T-103.37%-104.71B128.18%829.38B
Net PPE purchase and sale -44.91%-211.13B35.97%-47.23B-142.43%-74.13B-191.88%-56.87B-50.39%-32.9B-13.79%-145.7B-21.52%-73.76B-9.98%-30.58B-0.28%-19.48B-8.78%-21.87B
Net intangibles purchase and sale 17.90%-185.53B45.65%-44.15B-8.23%-38.7B6.61%-67.34B4.22%-35.35B-30.05%-225.99B-52.76%-81.22B24.59%-35.76B-74.00%-72.1B-16.25%-36.91B
Net business purchase and sale 18.95%-672.62B8.88%-187.72B4.53%-177.01B-8.49%-160.78B49.31%-147.1B-14.49%-829.83B65.66%-206.01B---185.42B---148.2B---290.2B
Net other investing changes -747.91%-102.86B8,503.97%25.38B-2,846.40%-140.75B31,471.50%60.55B-527.12%-48.03B-86.17%15.88B-101.77%-302M-59.36%5.13B-100.38%-193M-66.83%11.25B
Cash from discontinued investing activities
Investing cash flow 98.48%-34.3B-613.68%-5.79T420.90%4.78T-336.96%-1.51T530.86%2.47T67.65%-2.25T79.10%-810.96B53.78%-1.49T-111.12%-344.49B113.25%392.21B
Financing cash flow
Cash flow from continuing financing activities 143.54%1.25T-493.81%-3.68T1,342.03%6.68T61.23%-529.64B-264.89%-1.23T-248.98%-2.86T90.98%-619.25B-123.14%-537.92B-134.61%-1.37T-113.42%-336.82B
Net issuance payments of debt 322.01%2.34T-388.31%-2.62T10,557.83%6.58T-243.65%-215.29B-255.91%-1.4T-147.80%-1.06T92.39%-536.19B-103.49%-62.93B-101.20%-62.65B-117.56%-394.19B
Net commonstock issuance 2.36%-131.87B99.92%-1M--0120.21%4.78B---136.64B---135.05B---1.23B---110.18B---23.64B--0
Cash dividends paid 10.23%-878.33B1.09%-133.11B-1.86%-133.11B---------49.37%-978.38B---134.58B-19.67%-130.69B--------
Net other financing activities 87.15%-88.79B-1,855.44%-925.82B199.71%233.45B151.69%292.99B441.38%310.59B-289.00%-690.81B-70.74%52.74B-137.22%-234.13B20.08%-566.79B-78.38%57.37B
Cash from discontinued financing activities
Financing cash flow 143.54%1.25T-493.81%-3.68T1,342.03%6.68T61.23%-529.64B-264.89%-1.23T-248.98%-2.86T90.98%-619.25B-123.14%-537.92B-134.61%-1.37T-113.42%-336.82B
Net cash flow
Beginning cash position -10.70%30.56T29.33%33.49T17.43%25.47T3.06%31.93T-10.70%30.56T66.01%34.22T179.10%25.89T116.56%21.69T1.84%30.99T66.01%34.22T
Current changes in cash -40.83%-4.92T-256.87%-7.68T104.58%8.52T25.96%-6.78T130.17%1.02T-125.73%-3.49T-64.14%4.9T381.07%4.16T-12.38%-9.16T-135.56%-3.4T
Effect of exchange rate changes 1,065.46%1.64T735.45%1.48T-1,478.00%-506.02B329.95%318.33B115.24%353.1B-651.37%-170.15B86.79%-232.49B-95.06%36.72B-117.65%-138.44B-37.80%164.05B
End cash position -10.72%27.28T-10.72%27.28T29.33%33.49T17.43%25.47T3.06%31.93T-10.70%30.56T-10.70%30.56T179.10%25.89T116.56%21.69T1.84%30.99T
Free cash flow -632.36%-6.54T-72.59%1.69T-150.06%-3.07T35.54%-4.87T91.50%-298.29B-93.28%1.23T-74.61%6.17T1,030.74%6.13T50.64%-7.55T-135.29%-3.51T
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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