KT Corporation (FRA:KTC)
Germany flag Germany · Delayed Price · Currency is EUR
20.20
+0.50 (2.54%)
At close: Feb 20, 2026

KT Corporation Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
3,507,0003,716,6802,879,5542,449,0623,019,592
Short-Term Investments
-957,2781,231,273823,794689,816
Trading Asset Securities
-203,218157,518454,969464,279
Cash & Short-Term Investments
3,507,0004,877,1764,268,3453,727,8254,173,687
Cash Growth
-28.09%14.26%14.50%-10.68%8.92%
Accounts Receivable
4,728,6002,921,8393,257,7323,090,0772,982,867
Other Receivables
-3,226,8303,915,8563,009,5382,110,577
Receivables
4,728,6006,148,6697,173,5886,099,6155,093,444
Inventory
416,100940,209912,262717,673514,145
Other Current Assets
5,325,8002,285,8832,163,9622,144,9012,077,074
Total Current Assets
13,977,50014,251,93714,518,15712,690,01411,858,350
Property, Plant & Equipment
14,258,50016,038,58416,177,04216,052,51315,713,194
Long-Term Investments
-4,059,6834,173,8483,835,0652,042,919
Goodwill
-273,779488,427708,223696,872
Other Intangible Assets
-1,484,8501,906,8342,249,7542,522,088
Long-Term Accounts Receivable
724,500243,878297,665395,359592,447
Long-Term Deferred Tax Assets
-671,609608,924579,090423,728
Long-Term Deferred Charges
614,500104,111138,600171,856228,373
Other Long-Term Assets
13,373,6004,751,5264,400,4854,307,9363,081,370
Total Assets
42,948,60041,879,95742,709,98240,989,81037,159,341
Accounts Payable
6,868,7001,036,7071,297,7521,150,5151,537,148
Short-Term Debt
2,499,500450,140425,785504,998338,927
Current Portion of Long-Term Debt
-3,454,6152,633,6301,322,0441,410,379
Current Portion of Leases
-349,264307,868315,892332,702
Current Income Taxes Payable
-123,145236,463232,382266,430
Current Unearned Revenue
207,80062,24751,53755,73764,742
Other Current Liabilities
2,116,8008,398,6168,194,3747,117,7006,122,104
Total Current Liabilities
11,692,80013,874,73413,147,40910,699,26810,072,432
Long-Term Debt
8,286,0006,615,9387,183,2978,213,1986,706,523
Long-Term Leases
-710,189872,042856,146826,667
Long-Term Unearned Revenue
31,900148,960153,563165,186194,309
Pension & Post-Retirement Benefits
-128,45763,61651,654197,883
Long-Term Deferred Tax Liabilities
-919,996994,330967,650643,958
Other Long-Term Liabilities
3,479,9001,485,1341,734,5881,624,0121,950,408
Total Liabilities
23,490,60023,883,40824,148,84522,577,11420,592,180
Common Stock
1,564,5001,564,4991,564,4991,564,4991,564,499
Additional Paid-In Capital
-1,440,2581,440,2581,440,2581,440,258
Retained Earnings
14,964,30013,779,77614,494,43014,255,31613,287,390
Treasury Stock
--215,210-398,075-202,295-1,009,798
Comprehensive Income & Other
2,929,200-358,621-351,936-447,633-305,813
Total Common Equity
19,458,00016,210,70216,749,17616,610,14514,976,536
Minority Interest
-1,785,8471,811,9611,802,5511,590,625
Shareholders' Equity
19,458,00017,996,54918,561,13718,412,69616,567,161
Total Liabilities & Equity
42,948,60041,879,95742,709,98240,989,81037,159,341
Total Debt
10,785,50011,580,14611,422,62211,212,2789,615,198
Net Cash (Debt)
-7,278,500-6,702,970-7,154,277-7,484,453-5,441,511
Net Cash Per Share
-30189.34-27247.34-28664.19-30885.72-23088.01
Filing Date Shares Outstanding
241.1245.83246.41256.04235.81
Total Common Shares Outstanding
-245.83246.41256.04235.81
Working Capital
2,284,700377,2031,370,7481,990,7461,785,918
Book Value Per Share
80706.7565941.9467971.8564872.5663511.53
Tangible Book Value
19,458,00014,452,07314,353,91513,652,16811,757,576
Tangible Book Value Per Share
80706.7558788.1958251.3553319.8949860.77
Land
-1,351,7911,324,5081,272,9401,315,929
Buildings
-4,981,2824,903,0734,830,8534,707,250
Machinery
-44,584,13543,611,28042,091,57340,270,005
Construction In Progress
-1,339,2251,035,1981,108,0431,094,479
Source: S&P Global Market Intelligence. Standard template. Financial Sources.