US Stock MarketDetailed Quotes

KT KT Corp

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  • 16.960
  • +0.360+2.17%
Close Nov 25 16:00 ET
8.34BMarket Cap10.86P/E (TTM)

KT Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
32.82%2.42T
-4.47%819.79B
52.99%5.5T
430.46%1.95T
-25.83%872.81B
73.79%1.82T
-14.64%858.14B
-35.33%3.6T
-73.70%368.16B
-21.80%1.18T
Net income from continuing operations
6.45%449.51B
10.68%354.03B
-29.84%972.18B
-81.27%136.69B
157.24%93.36B
-1.29%422.26B
-18.19%319.87B
-5.05%1.39T
72.01%729.98B
-148.29%-163.1B
Operating gains losses
-75.56%31.76B
-108.03%-36.66B
98.85%-4.17B
103.11%11.28B
-547.15%-127.79B
185.56%129.97B
76.50%-17.62B
-101.47%-363.53B
-40.29%-362.62B
198.36%28.58B
Depreciation and amortization
-1.16%1.15T
3.29%817.47B
4.23%3.87T
10.12%1.48T
-16.25%430.82B
10.70%1.16T
-1.00%791.41B
1.74%3.71T
45.85%1.35T
-43.21%514.42B
Deferred tax
25.23%170.04B
3.98%112.12B
-33.69%335.37B
724.75%120.35B
-117.66%-28.59B
-39.67%135.78B
-21.91%107.83B
-2.55%505.76B
-123.25%-19.26B
13.56%161.89B
Other non cash items
-205.70%-20.68B
-29.62%-101.7B
63.00%-153.06B
-269.04%-1.12T
1,026.93%1.05T
72.00%-6.77B
56.27%-78.46B
-119.15%-413.7B
-818.99%-303.46B
158.61%93.36B
Change In working capital
4,179.12%692.92B
-79.66%-304.28B
106.87%99.9B
87.85%-171.79B
-27.19%458.04B
96.92%-16.99B
-44.25%-169.36B
-632.29%-1.45T
-4,943.81%-1.41T
78.56%629.05B
-Change in receivables
-56.81%215.35B
-320.69%-238.82B
26.34%-1.21T
40.48%-991.18B
-143.27%-660.17B
134.76%498.56B
16.42%-56.77B
-103,890.06%-1.64T
-596.32%-1.67T
832.64%1.53T
-Change in inventory
-215.69%-119.59B
333.11%77.86B
-77.14%-317.53B
-99.15%-406.99B
202.71%19.49B
59.40%103.37B
-60.85%-33.4B
-646.54%-179.26B
-33.49%-204.36B
-123.54%-18.98B
-Change in payables and accrued expense
149.26%223.64B
50.37%-105.39B
29.39%950.74B
-32.63%296.12B
258.09%1.32T
-137.37%-453.96B
-152.29%-212.36B
47.95%734.76B
1,455.14%439.55B
-381.13%-835.54B
-Change in other current assets
676.41%66.96B
-55.52%22.55B
189.61%280.26B
188.55%253.84B
-105.18%-12.67B
96.09%-11.62B
89.25%50.71B
9.85%-312.77B
15.29%-286.66B
-0.70%244.42B
-Change in other current liabilities
284.55%306.67B
-162.18%-57.06B
1,374.81%400.16B
950.79%434.63B
385.72%39.95B
-31.37%-166.17B
35.50%91.76B
-133.72%-31.39B
-75.27%41.36B
79.75%-13.98B
-Change in other working capital
-100.77%-99M
63.20%-3.42B
81.43%-4.18B
-7.52%241.8B
8.42%-249.5B
-53.42%12.83B
76.19%-9.3B
-2,214.71%-22.5B
3,871.65%261.45B
-4,965.60%-272.43B
Cash from discontinued investing activities
Operating cash flow
32.82%2.42T
-4.47%819.79B
52.99%5.5T
167.76%1.04T
54.41%1.79T
73.79%1.82T
-14.64%858.14B
-35.33%3.6T
-72.25%388.39B
-23.14%1.16T
Investing cash flow
Cash flow from continuing investing activities
31.46%-658.94B
57.98%-509.1B
4.51%-4.62T
-15.64%-1.15T
-51.09%-1.3T
39.03%-961.35B
14.03%-1.21T
5.82%-4.84T
24.96%-992B
56.06%-860.74B
Net PPE purchase and sale
11.79%-746.45B
46.11%-436.71B
-10.09%-3.59T
-39.84%-1.09T
10.08%-846.17B
-23.57%-846.18B
5.58%-810.33B
1.83%-3.26T
-7.74%-779.82B
-3.22%-941B
Net intangibles purchase and sale
57.45%-68.3B
10.99%-272.99B
10.19%-471.61B
-134.92%-4.42B
100.02%14M
-1.73%-160.5B
2.63%-306.7B
29.09%-525.1B
107.05%12.67B
-115.77%-65.03B
Net business purchase and sale
-5.68%-23.12B
81.29%-3.18B
62.77%-104.42B
53.05%-26.47B
-73.27%-39.07B
59.57%-21.88B
88.47%-17B
74.71%-280.49B
8.72%-56.39B
97.76%-22.55B
Net investment purchase and sale
189.74%178.11B
359.61%200.2B
39.01%-472.33B
78.81%-34.59B
-332.21%-422.09B
108.75%61.47B
14.45%-77.12B
-2,263.58%-774.45B
54.80%-163.26B
7,925.08%181.77B
Net other investing changes
-85.65%822M
1,109.04%3.57B
304.43%21B
268.69%8.78B
149.14%6.85B
-74.80%5.73B
-122.19%-354M
544.29%5.19B
-216.65%-5.21B
-12.88%-13.93B
Cash from discontinued investing activities
Investing cash flow
31.46%-658.94B
57.98%-509.1B
4.51%-4.62T
-15.64%-1.15T
-51.09%-1.3T
39.03%-961.35B
14.03%-1.21T
5.82%-4.84T
24.96%-992B
56.06%-860.74B
Financing cash flow
Cash flow from continuing financing activities
32.82%-943.14B
-187.29%-221.11B
-167.65%-452.79B
-226.16%-121.53B
3,363.25%819.27B
-359.77%-1.4T
32.43%253.31B
1,721.36%669.33B
74.39%-37.26B
-105.65%-25.11B
Net issuance payments of debt
60.28%-287.99B
-151.70%-194.01B
-129.72%-300.93B
-47.71%-90.73B
193.60%139.5B
-170.26%-724.99B
96.20%375.29B
100.19%1.01T
22.71%-61.42B
-135.26%-149.03B
Net common stock issuance
--0
77.78%-27.1B
---300.09B
--0
--0
---178.11B
---121.98B
--0
--0
--0
Cash dividends paid
----
----
-10.49%-526.83B
---18M
---540M
----
----
-36.10%-476.8B
--0
--0
Net other financing activities
----
----
405.68%675.05B
-227.40%-30.78B
448.99%680.32B
----
----
4,339.25%133.49B
137.17%24.16B
495.01%123.92B
Cash from discontinued financing activities
Financing cash flow
32.82%-943.14B
-187.29%-221.11B
-167.65%-452.79B
-226.16%-121.53B
3,363.25%819.27B
-359.77%-1.4T
32.43%253.31B
1,721.36%669.33B
74.39%-37.26B
-105.65%-25.11B
Net cash flow
Beginning cash position
53.70%1.33T
28.53%1.24T
-18.89%2.45T
0.49%3.11T
-36.01%1.81T
-42.09%866.35B
-43.45%966.31B
14.61%3.02T
0.20%3.1T
-8.89%2.82T
Current changes in cash
249.23%814.47B
189.53%89.57B
175.14%429.99B
64.30%-228.77B
382.02%1.3T
-5,254.87%-545.8B
52.95%-100.05B
-249.38%-572.25B
-844.01%-640.87B
2,904.69%270.65B
Effect of exchange rate changes
41.11%3.1B
-55.95%37M
-70.70%503M
60.24%-2.06B
-89.68%281M
-48.27%2.19B
210.53%84M
-9.15%1.72B
-252.73%-5.17B
66.14%2.72B
End cash Position
109.73%3.79T
53.70%1.33T
17.58%2.88T
17.58%2.88T
0.49%3.11T
-36.01%1.81T
-42.09%866.35B
-18.89%2.45T
-18.89%2.45T
0.20%3.1T
Free cash flow
103.55%1.59T
133.95%90.65B
441.11%1.33T
73.37%-117.21B
650.11%933.46B
630.59%781.32B
-47.27%-267.01B
-129.77%-390.07B
-220.10%-440.15B
-77.00%124.44B
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
--
--
--
--
Unqualified Opinion
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 32.82%2.42T-4.47%819.79B52.99%5.5T430.46%1.95T-25.83%872.81B73.79%1.82T-14.64%858.14B-35.33%3.6T-73.70%368.16B-21.80%1.18T
Net income from continuing operations 6.45%449.51B10.68%354.03B-29.84%972.18B-81.27%136.69B157.24%93.36B-1.29%422.26B-18.19%319.87B-5.05%1.39T72.01%729.98B-148.29%-163.1B
Operating gains losses -75.56%31.76B-108.03%-36.66B98.85%-4.17B103.11%11.28B-547.15%-127.79B185.56%129.97B76.50%-17.62B-101.47%-363.53B-40.29%-362.62B198.36%28.58B
Depreciation and amortization -1.16%1.15T3.29%817.47B4.23%3.87T10.12%1.48T-16.25%430.82B10.70%1.16T-1.00%791.41B1.74%3.71T45.85%1.35T-43.21%514.42B
Deferred tax 25.23%170.04B3.98%112.12B-33.69%335.37B724.75%120.35B-117.66%-28.59B-39.67%135.78B-21.91%107.83B-2.55%505.76B-123.25%-19.26B13.56%161.89B
Other non cash items -205.70%-20.68B-29.62%-101.7B63.00%-153.06B-269.04%-1.12T1,026.93%1.05T72.00%-6.77B56.27%-78.46B-119.15%-413.7B-818.99%-303.46B158.61%93.36B
Change In working capital 4,179.12%692.92B-79.66%-304.28B106.87%99.9B87.85%-171.79B-27.19%458.04B96.92%-16.99B-44.25%-169.36B-632.29%-1.45T-4,943.81%-1.41T78.56%629.05B
-Change in receivables -56.81%215.35B-320.69%-238.82B26.34%-1.21T40.48%-991.18B-143.27%-660.17B134.76%498.56B16.42%-56.77B-103,890.06%-1.64T-596.32%-1.67T832.64%1.53T
-Change in inventory -215.69%-119.59B333.11%77.86B-77.14%-317.53B-99.15%-406.99B202.71%19.49B59.40%103.37B-60.85%-33.4B-646.54%-179.26B-33.49%-204.36B-123.54%-18.98B
-Change in payables and accrued expense 149.26%223.64B50.37%-105.39B29.39%950.74B-32.63%296.12B258.09%1.32T-137.37%-453.96B-152.29%-212.36B47.95%734.76B1,455.14%439.55B-381.13%-835.54B
-Change in other current assets 676.41%66.96B-55.52%22.55B189.61%280.26B188.55%253.84B-105.18%-12.67B96.09%-11.62B89.25%50.71B9.85%-312.77B15.29%-286.66B-0.70%244.42B
-Change in other current liabilities 284.55%306.67B-162.18%-57.06B1,374.81%400.16B950.79%434.63B385.72%39.95B-31.37%-166.17B35.50%91.76B-133.72%-31.39B-75.27%41.36B79.75%-13.98B
-Change in other working capital -100.77%-99M63.20%-3.42B81.43%-4.18B-7.52%241.8B8.42%-249.5B-53.42%12.83B76.19%-9.3B-2,214.71%-22.5B3,871.65%261.45B-4,965.60%-272.43B
Cash from discontinued investing activities
Operating cash flow 32.82%2.42T-4.47%819.79B52.99%5.5T167.76%1.04T54.41%1.79T73.79%1.82T-14.64%858.14B-35.33%3.6T-72.25%388.39B-23.14%1.16T
Investing cash flow
Cash flow from continuing investing activities 31.46%-658.94B57.98%-509.1B4.51%-4.62T-15.64%-1.15T-51.09%-1.3T39.03%-961.35B14.03%-1.21T5.82%-4.84T24.96%-992B56.06%-860.74B
Net PPE purchase and sale 11.79%-746.45B46.11%-436.71B-10.09%-3.59T-39.84%-1.09T10.08%-846.17B-23.57%-846.18B5.58%-810.33B1.83%-3.26T-7.74%-779.82B-3.22%-941B
Net intangibles purchase and sale 57.45%-68.3B10.99%-272.99B10.19%-471.61B-134.92%-4.42B100.02%14M-1.73%-160.5B2.63%-306.7B29.09%-525.1B107.05%12.67B-115.77%-65.03B
Net business purchase and sale -5.68%-23.12B81.29%-3.18B62.77%-104.42B53.05%-26.47B-73.27%-39.07B59.57%-21.88B88.47%-17B74.71%-280.49B8.72%-56.39B97.76%-22.55B
Net investment purchase and sale 189.74%178.11B359.61%200.2B39.01%-472.33B78.81%-34.59B-332.21%-422.09B108.75%61.47B14.45%-77.12B-2,263.58%-774.45B54.80%-163.26B7,925.08%181.77B
Net other investing changes -85.65%822M1,109.04%3.57B304.43%21B268.69%8.78B149.14%6.85B-74.80%5.73B-122.19%-354M544.29%5.19B-216.65%-5.21B-12.88%-13.93B
Cash from discontinued investing activities
Investing cash flow 31.46%-658.94B57.98%-509.1B4.51%-4.62T-15.64%-1.15T-51.09%-1.3T39.03%-961.35B14.03%-1.21T5.82%-4.84T24.96%-992B56.06%-860.74B
Financing cash flow
Cash flow from continuing financing activities 32.82%-943.14B-187.29%-221.11B-167.65%-452.79B-226.16%-121.53B3,363.25%819.27B-359.77%-1.4T32.43%253.31B1,721.36%669.33B74.39%-37.26B-105.65%-25.11B
Net issuance payments of debt 60.28%-287.99B-151.70%-194.01B-129.72%-300.93B-47.71%-90.73B193.60%139.5B-170.26%-724.99B96.20%375.29B100.19%1.01T22.71%-61.42B-135.26%-149.03B
Net common stock issuance --077.78%-27.1B---300.09B--0--0---178.11B---121.98B--0--0--0
Cash dividends paid ---------10.49%-526.83B---18M---540M---------36.10%-476.8B--0--0
Net other financing activities --------405.68%675.05B-227.40%-30.78B448.99%680.32B--------4,339.25%133.49B137.17%24.16B495.01%123.92B
Cash from discontinued financing activities
Financing cash flow 32.82%-943.14B-187.29%-221.11B-167.65%-452.79B-226.16%-121.53B3,363.25%819.27B-359.77%-1.4T32.43%253.31B1,721.36%669.33B74.39%-37.26B-105.65%-25.11B
Net cash flow
Beginning cash position 53.70%1.33T28.53%1.24T-18.89%2.45T0.49%3.11T-36.01%1.81T-42.09%866.35B-43.45%966.31B14.61%3.02T0.20%3.1T-8.89%2.82T
Current changes in cash 249.23%814.47B189.53%89.57B175.14%429.99B64.30%-228.77B382.02%1.3T-5,254.87%-545.8B52.95%-100.05B-249.38%-572.25B-844.01%-640.87B2,904.69%270.65B
Effect of exchange rate changes 41.11%3.1B-55.95%37M-70.70%503M60.24%-2.06B-89.68%281M-48.27%2.19B210.53%84M-9.15%1.72B-252.73%-5.17B66.14%2.72B
End cash Position 109.73%3.79T53.70%1.33T17.58%2.88T17.58%2.88T0.49%3.11T-36.01%1.81T-42.09%866.35B-18.89%2.45T-18.89%2.45T0.20%3.1T
Free cash flow 103.55%1.59T133.95%90.65B441.11%1.33T73.37%-117.21B650.11%933.46B630.59%781.32B-47.27%-267.01B-129.77%-390.07B-220.10%-440.15B-77.00%124.44B
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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Heat List
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