KB Financial Group Inc. (KRX:105560)
South Korea flag South Korea · Delayed Price · Currency is KRW
167,400
+1,400 (0.84%)
At close: Oct 2, 2026

KB Financial Group Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.

Assets

Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Jun '26 Mar '26 Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21
Cash & Equivalents
35,502,95926,218,09829,014,70620,885,18429,869,16126,564,18424,608,86722,116,44627,080,17826,700,35525,826,58827,957,79826,556,88324,098,42726,534,7989,821,8739,031,3499,014,80325,273,2738,665,432
Investment Securities
144,940,796142,907,747145,552,942137,228,922133,012,445133,871,461138,246,701130,418,070131,477,519127,738,751127,442,485121,195,729120,000,623119,058,826119,639,440121,753,085108,447,749109,054,404110,356,723107,935,068
Trading Asset Securities
113,372,320106,614,83797,976,14999,939,15995,250,69094,208,64091,121,02282,606,60586,260,35284,561,09083,116,08581,686,43182,696,35678,559,41579,469,60879,614,95474,723,51272,909,33769,526,44266,102,832
Total Investments
258,313,116249,522,584243,529,091237,168,081228,263,135228,080,101229,367,723213,024,675217,737,871212,299,841210,558,570202,882,160202,696,979197,618,241199,109,048201,368,039183,171,261181,963,741179,883,165174,037,900
Gross Loans
504,266,547493,220,715489,453,516488,021,152481,927,580478,130,757472,878,257469,045,763459,385,359451,671,890446,744,265444,616,849437,402,323433,912,677434,158,600451,612,792436,067,195426,856,850416,799,664403,322,327
Allowance for Loan Losses
-5,568,488-5,568,488-5,406,196-5,547,429-5,685,888-5,766,647-5,633,380-5,451,124-5,463,084-5,548,937-5,462,805-4,913,266-4,812,940-4,667,167-4,160,984-3,718,120-3,588,774-3,592,086-3,684,055-3,366,805
Other Adjustments to Gross Loans
---153,947----140,104----109,246----109,842----70,530-
Net Loans
498,698,059487,652,227483,893,373482,473,723476,241,692472,364,110467,104,773463,594,639453,922,275446,122,953441,172,214439,703,583432,589,383429,245,510429,887,774447,894,672432,478,421423,264,764413,045,079399,955,522
Property, Plant & Equipment
5,078,1315,111,2855,133,8015,136,8375,179,5245,424,7955,390,0155,277,4795,310,8555,310,3074,945,6994,943,0424,956,1294,956,2994,991,4675,000,2824,965,7185,234,5625,239,8985,276,420
Goodwill
--633,665---874,048---866,974---845,155---806,407-
Other Intangible Assets
1,595,3291,589,476975,7621,783,8311,817,6541,925,3041,092,6361,971,1232,034,8741,961,0221,083,8841,986,1011,956,5451,984,6081,013,3153,306,3103,231,0673,228,8552,459,9503,244,870
Investments in Real Estate
3,421,8053,238,8783,224,1802,882,6923,215,2323,880,8863,759,1763,870,6333,929,3573,962,8524,109,7843,614,7373,505,5833,289,5293,148,3402,691,1223,184,0802,517,6312,514,9442,709,322
Accrued Interest Receivable
--3,227,004---3,271,649---3,130,004---2,506,467---1,916,667-
Other Receivables
1,525,4911,415,55213,740,0141,158,1101,364,8071,165,3309,753,5451,506,4581,237,691946,19511,815,2181,127,8771,179,330769,8847,320,8791,490,8141,551,0451,410,5808,030,7961,499,615
Restricted Cash
8,100,5185,388,6514,843,6823,661,0443,294,5463,323,7964,338,8182,979,9873,089,6703,193,7763,273,4283,197,4774,221,1854,429,9194,893,83916,516,10321,338,35518,921,2624,589,89317,984,853
Other Current Assets
281,792280,4813,067,638251,937279,873130,0512,179,112139,071142,065119,4942,613,388223,245228,811236,8182,550,893250,765240,264210,1582,721,785212,832
Long-Term Deferred Tax Assets
183,862196,211193,034195,123167,555231,794278,824162,162275,319335,124274,225245,280271,776200,714188,372693,985278,329165,444159,093110,318
Other Long-Term Assets
54,188,14349,127,3846,447,08340,466,64030,929,48527,236,7865,826,34630,691,62627,472,16731,288,3626,055,44030,558,53928,155,14224,605,6885,674,47937,908,01735,054,20734,079,16217,254,88436,809,456
Total Assets
866,889,205829,740,827797,923,033796,063,202780,622,664770,327,137757,845,532745,334,299742,232,322732,240,281715,725,416716,439,839706,317,746691,435,637688,664,826726,941,982694,524,096680,010,962663,895,834650,506,540

Liabilities

Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Jun '26 Mar '26 Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21
Accrued Expenses
7604846,877,875--3497,016,830-11,83016,1296,554,31713,16514,000-4,776,08016,30818,2932103,577,280509
Interest Bearing Deposits
278,475,638272,134,005276,541,337263,340,984266,093,883261,725,806265,777,627257,103,586250,614,678250,494,795243,158,759237,447,541233,489,069226,520,091229,005,062210,979,314181,491,187179,325,288175,508,650167,524,647
Non-Interest Bearing Deposits
207,867,890196,959,129185,855,689185,371,009175,992,941172,631,808169,910,270166,434,852169,603,211167,575,873163,353,675161,496,090162,592,537160,710,395164,923,842179,366,820193,719,657195,104,237196,515,268189,758,626
Total Deposits
486,343,528469,093,134462,397,026448,711,993442,086,824434,357,614435,687,897423,538,438420,217,889418,070,668406,512,434398,943,631396,081,606387,230,486393,928,904390,346,134375,210,844374,429,525372,023,918357,283,273
Short-Term Borrowings
24,283,74123,598,01020,443,03416,934,89516,402,76924,050,75522,626,70615,432,46718,344,55017,371,58117,433,14420,760,58021,031,93721,428,70623,742,16631,542,95522,020,70516,715,93914,509,32014,182,555
Current Portion of Long-Term Debt
11,407,65310,396,37213,430,10411,845,79415,010,05312,425,76112,803,10611,315,17211,620,7398,930,89515,652,13512,884,79011,010,4099,238,77211,773,4948,758,11010,450,12612,362,53014,374,86312,447,514
Current Portion of Leases
329,044314,257325,274332,370329,262306,454315,172308,870310,593303,029243,254245,219237,358228,139244,892445,478242,672217,399223,468228,534
Current Income Taxes Payable
416,935792,071610,484748,196477,380608,452530,720408,170320,674146,395145,335320,362507,874132,181998,681980,260932,1641,013,821662,672551,923
Other Current Liabilities
3,728,9923,456,4253,805,0142,787,1702,636,3372,702,5713,042,1283,299,3183,688,9833,810,3903,303,6412,452,1432,771,3861,946,6472,460,0892,561,6842,792,3563,582,7683,138,3634,590,268
Long-Term Debt
143,942,616137,056,576144,276,582131,556,550126,610,697126,317,601136,840,856122,670,714124,820,109121,387,305127,997,447122,722,846122,753,085124,195,440130,296,518130,872,054124,517,249115,191,074115,323,882105,974,732
Long-Term Leases
611,499655,662575,839673,564710,342749,453649,227712,712757,595796,504345,549384,367381,789-347,80551,552382,067392,189355,340431,900
Long-Term Unearned Revenue
--609,765---606,052---594,023---763,5962,129,3542,118,4812,053,380870,4281,979,466
Pension & Post-Retirement Benefits
89,93085,381100,08890,20498,305104,504100,18785,32878,20073,87381,869115,623112,36288,76485,745415,003359,465272,455225,521381,100
Long-Term Deferred Tax Liabilities
2,242,6891,987,2391,819,0801,592,4681,750,1811,622,2581,682,2921,908,2051,853,4812,004,6442,094,9122,293,6972,044,5882,931,5061,561,85718,195221,662939,8741,470,9811,538,904
Other Long-Term Liabilities
130,789,996121,165,08081,822,879119,418,905113,556,565106,946,60176,129,178105,744,889100,385,077100,121,53776,131,16696,452,20191,666,44787,774,84063,577,198109,497,549106,874,076104,700,48188,845,878103,242,248
Total Liabilities
804,187,383768,600,691737,093,044734,692,109719,668,715710,192,373698,030,351685,424,283682,409,720673,032,950657,089,226657,588,624648,612,841635,195,481634,557,025677,634,636646,140,160631,871,645615,601,914602,832,926

Shareholders' Equity

Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Jun '26 Mar '26 Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21
Common Stock
2,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,5582,090,558
Additional Paid-In Capital
9,127,5219,102,70116,633,51816,623,24416,645,90916,603,17616,646,73416,617,90016,646,10516,639,87316,647,91616,643,62316,649,23316,940,68916,940,73116,940,73116,940,73116,940,23116,940,23116,941,535
Retained Earnings
46,129,27946,394,64838,333,74137,992,09136,688,90936,156,39634,808,22034,569,26033,819,42832,439,14531,934,60031,983,33830,853,62029,813,67228,948,42528,314,31827,179,83726,099,86825,672,81525,063,275
Treasury Stock
-176,014-1,682,715-1,901,538-1,466,389-1,241,538-1,700,174-1,236,060-906,739-1,251,237-996,774-1,165,837-967,787-865,837-1,107,933-836,188-836,188-986,188-986,188-1,136,188-1,136,188
Comprehensive Income & Other
3,719,4943,443,7533,891,9324,342,7864,885,5965,084,9965,579,5005,577,5205,847,9846,963,2867,185,4477,134,5756,942,8916,820,9705,684,1731,256,6411,868,0583,114,2263,893,1664,019,572
Total Common Equity
60,890,83859,348,94559,048,21159,582,29059,069,43458,234,95257,888,95257,948,49957,152,83857,136,08856,692,68456,884,30755,670,46554,557,95652,827,69947,766,06047,092,99647,258,69547,460,58246,978,752
Minority Interest
1,810,9841,791,1911,781,7781,788,8031,884,5151,899,8121,926,2291,961,5172,669,7642,071,2431,943,5061,966,9082,034,4401,682,2001,280,1021,541,2861,290,940880,622833,338694,862
Shareholders' Equity
62,701,82261,140,13660,829,98961,371,09360,953,94960,134,76459,815,18159,910,01659,822,60259,207,33158,636,19058,851,21557,704,90556,240,15654,107,80149,307,34648,383,93648,139,31748,293,92047,673,614
Total Liabilities & Equity
866,889,205829,740,827797,923,033796,063,202780,622,664770,327,137757,845,532745,334,299742,232,322732,240,281715,725,416716,439,839706,317,746691,435,637688,664,826726,941,982694,524,096680,010,962663,895,834650,506,540

Additional Metrics

Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Jun '26 Mar '26 Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21
Total Debt
180,574,553172,020,877179,050,833161,343,173159,063,123163,850,024173,235,067150,439,935155,853,586148,789,314161,671,529156,997,802155,414,578155,091,057166,404,875171,670,149157,612,819144,879,131144,786,873133,265,235
Net Cash (Debt)
-24,998,334-32,487,002-43,975,307-36,472,812-31,937,519-40,570,815-52,538,111-43,304,973-40,561,948-35,456,399-49,095,783-45,336,490-43,797,167-49,489,285-57,249,312-73,264,952-71,711,021-60,821,730-45,131,964-55,852,087
Net Cash Growth (YoY)
--------------------
Net Cash Per Share
-70609.51-89355.05-120794.42-99444.68-86542.52-108001.55-138544.31-113211.60-105577.71-91488.00-125806.30-115545.20-111415.83-124468.45-143526.41-183786.09-179719.78-152347.82-113021.45-140286.23
Filing Date Shares Outstanding
353.39355.39358.59362.15364.15367.91373.6377.22379.27378.66378.66382.35384.25384.25389.63389.63389.63389.63389.63389.63
Total Common Shares Outstanding
353.39355.39358.59362.15364.15367.91373.6377.22379.27382.76378.66382.35384.25384.25389.63389.63389.63389.63389.63389.63
Book Value Per Share
160402.05155910.36152511.70151287.06148034.21143374.89141344.41140147.79150693.40135081.27136426.77135613.26144881.47128888.40124202.22111211.47120864.59112469.24114523.69113975.67
Tangible Book Value
59,295,50957,759,46957,438,78457,798,45957,251,78056,309,64855,922,26855,977,37655,117,96455,175,06654,741,82654,898,20653,713,92052,573,34850,969,22944,459,75043,861,92944,029,84044,194,22543,733,882
Tangible Book Value Per Share
155887.66151437.85148023.46146361.41143042.74138141.74136080.28134922.34145328.10129957.95131274.81130418.78139789.60123723.49119432.44102725.80112572.03104182.36106140.55105647.68