美股市場個股詳情

韓國國民銀行 (KB)

添加自選
  • 109.250
  • +1.790+1.67%
收盤價 04/10 16:00 (美東)
  • 109.250
  • 0.0000.00%
盤後 20:01 (美東)
387.50億總市值10.57市盈率TTM

韓國國民銀行 (KB) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
5.13%4.23萬億
852.78%7.43萬億
-118.62%-7.02萬億
191.20%8,232.91億
-67.12%3萬億
-2.16%4.02萬億
17.61%-9,866.16億
-236.83%-3.21萬億
-117.70%-9,026.83億
526.21%9.12萬億
持續經營淨收入
16.15%5.84萬億
11.97%7,387.85億
3.33%1.66萬億
2.14%1.75萬億
60.89%1.7萬億
11.10%5.03萬億
278.54%6,598.28億
18.83%1.6萬億
13.70%1.71萬億
-29.56%1.06萬億
持續經營損益
-222.16%-1.54萬億
-138.08%-4,578.31億
102.56%12.12億
-253.88%-1.42萬億
-33.39%3,393億
222.52%1.26萬億
232.23%1.2萬億
-115.24%-473億
-471.38%-4,024.36億
194.44%5,093.57億
折舊和攤銷
-0.18%9,146.86億
-0.35%2,395.11億
-1.80%2,280.45億
-1.60%2,232.18億
3.24%2,239.12億
5.82%9,162.95億
3.37%2,403.45億
7.23%2,322.19億
7.34%2,268.49億
5.52%2,168.82億
其他非現金項目
-0.09%-8.47萬億
-5.83%-2.02萬億
9.22%-2.17萬億
2.41%-1.93萬億
-7.53%-2.35萬億
-60.46%-8.46萬億
-95.93%-1.91萬億
-187.47%-2.4萬億
-51.53%-1.97萬億
-0.94%-2.18萬億
營運資金變動
60.62%4.97萬億
562.81%8.2萬億
-128.18%-7.13萬億
239.11%1.46萬億
-73.04%2.44萬億
71.31%3.09萬億
-59.75%-1.77萬億
-478.59%-3.12萬億
-126.84%-1.05萬億
596.13%9.04萬億
-應收款項(增)減
48.99%-487.34億
14.17%-211.99億
-15.90%-232.59億
24.98%-151.46億
135.54%108.7億
-141.10%-955.39億
-232.90%-246.99億
-0.75%-200.69億
15.21%-201.88億
-111.18%-305.83億
-應付款項及遞延費用(減)增
-79.30%797.65億
-212.37%-1,377.12億
209.52%2,708.17億
-175.21%-1,310.72億
7,233.21%777.32億
145.16%3,853.85億
170.02%1,225.5億
146.66%874.96億
-53.61%1,742.79億
100.12%10.6億
-貸款(增)減
15.07%-23.92萬億
-17.98%-6.57萬億
27.35%-8.28萬億
37.19%-5.08萬億
-28.14%-3.99萬億
-80.97%-28.16萬億
-11.98%-5.57萬億
-46.70%-11.39萬億
-132.69%-8.08萬億
-577.65%-3.11萬億
-遞延費用變動
17.51%4,382.53億
204.73%1,718.77億
-136.53%-855.78億
-85.49%355.94億
450.24%3,163.6億
130.63%3,729.49億
32.95%-1,641.16億
7.06%2,342.43億
119.91%2,453.27億
-95.95%574.95億
-其他流動資產變化
-748.44%-9.04萬億
46.87%12.18萬億
-158.78%-9.39萬億
-228.77%-6.5萬億
35.96%-5.33萬億
136.90%1.39萬億
8.20%8.29萬億
-176.54%-3.63萬億
254.25%5.05萬億
-21.37%-8.32萬億
-其他流動負債變化
210.81%5.48萬億
-13.30%-16.46萬億
60.68%6.74萬億
342.86%4.21萬億
54.37%10.99萬億
-149.65%-4.95萬億
-52.79%-14.53萬億
11.28%4.2萬億
-130.62%-1.73萬億
-29.09%7.12萬億
-其他營運資本變化
-6.39%31.97萬億
88.47%19.04萬億
-50.92%3.63萬億
168.91%8.94萬億
-97.28%3,618.87億
186.80%34.15萬億
65.30%10.1萬億
20.89%7.4萬億
-43.41%3.32萬億
315.00%13.32萬億
非持續經營活動現金流
經營活動現金淨額
5.13%4.23萬億
852.78%7.43萬億
-118.62%-7.02萬億
191.20%8,232.91億
-67.12%3萬億
-2.16%4.02萬億
17.61%-9,866.16億
-236.83%-3.21萬億
-117.70%-9,026.83億
526.21%9.12萬億
投資活動現金流量
持續投資活動現金淨額
-44.78%-5.54萬億
-980.23%-4.23萬億
-138.15%-1.12萬億
122.17%6,580.19億
75.26%-8,412.74億
-8.68%-3.83萬億
73.90%-3,920.18億
178.45%2.94萬億
-20.13%-2.97萬億
-181.06%-3.4萬億
投資產品交易淨現金流
-82.62%-5.67萬億
-1,334.34%-2.91萬億
-135.90%-1.18萬億
62.36%-1.14萬億
85.96%-4,435.04億
-17.70%-3.11萬億
78.12%-2,029.28億
187.65%3.28萬億
-11.02%-3.03萬億
-166.38%-3.16萬億
固定資產交易的淨現金流
24.19%-2,415.13億
43.02%-844.78億
83.42%-133.31億
13.28%-496.62億
-188.22%-940.42億
6.84%-3,185.62億
7.15%-1,482.71億
-1.91%-803.98億
18.79%-572.64億
0.74%-326.29億
無形資產交易的淨現金流
21.90%-2,098.27億
-5.98%-1,026.15億
-111.75%-405.7億
69.59%-222.69億
44.14%-443.73億
17.35%-2,686.58億
-129.63%-968.21億
80.59%-191.59億
-1,088.38%-732.4億
55.38%-794.38億
業務交易的淨現金流
-399.19%-2,648.68億
-2,278.57%-1.43萬億
134.74%693.11億
331.09%1.13萬億
9.52%-364.39億
-93.17%885.28億
-91.81%656.41億
-877.16%-1,994.98億
-65.33%2,626.58億
85.99%-402.73億
其他投資活動的淨現金流
189.84%3,568.61億
304.64%3,802.92億
190.92%426.73億
64.47%-264.84億
55.93%-396.2億
19.95%-3,972.26億
34.04%-1,858.31億
-130.48%-469.36億
82.56%-745.47億
-252.90%-899.12億
非持續投資現金淨額
投資活動現金流淨額
-44.78%-5.54萬億
-980.23%-4.23萬億
-138.15%-1.12萬億
122.17%6,580.19億
75.26%-8,412.74億
-8.68%-3.83萬億
73.90%-3,920.18億
178.45%2.94萬億
-20.13%-2.97萬億
-181.06%-3.4萬億
融資活動現金流量
持續融資活動現金淨額
392.26%5.8萬億
40.57%4.89萬億
79.19%-9,460.56億
-47.37%2.16萬億
94.03%-2,994.07億
-60.11%-1.98萬億
402.28%3.48萬億
-264.13%-4.55萬億
2,289.56%4.1萬億
-11.06%-5.01萬億
債務發行/償還的淨現金流
1,308.62%7.24萬億
-0.66%4.53萬億
148.43%1.07萬億
-58.46%1.76萬億
97.89%-1,280.77億
121.73%5,137.24億
354.67%4.56萬億
-383.31%-2.21萬億
542.20%4.24萬億
-26.35%-6.07萬億
普通股發行/償還的淨現金流
-80.49%-1.48萬億
-32.14%-4,351.49億
-31.74%-2,248.51億
-39.86%-3,558.86億
-608.17%-4,641.14億
-43.42%-8,200億
-66.28%-3,293.21億
-67.41%-1,706.79億
---2,544.63億
75.88%-655.37億
現金股利支付
12.42%-1.3萬億
-11.71%-3,350.16億
-11.55%-3,346.52億
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----
-29.09%-1.49萬億
-53.79%-2,998.86億
-53.09%-3,000億
----
----
其他融資活動的淨現金流額
805.09%1.34萬億
345.05%1.12萬億
21.77%-1.46萬億
38.08%1.39萬億
-74.03%2,927.84億
-106.69%-1,905.83億
-662.61%-4,582.04億
-181.49%-1.86萬億
1,262.92%1萬億
99.13%1.13萬億
非持續融資活動現金淨額
融資活動現金流淨額
392.26%5.8萬億
40.57%4.89萬億
79.19%-9,460.56億
-47.37%2.16萬億
94.03%-2,994.07億
-60.11%-1.98萬億
402.28%3.48萬億
-264.13%-4.55萬億
2,289.56%4.1萬億
-11.06%-5.01萬億
現金淨流量
期初現金流
-4.71%24.61萬億
-5.57%20.89萬億
10.30%29.87萬億
-0.51%26.56萬億
-4.71%24.61萬億
-2.67%25.83萬億
-20.89%22.12萬億
1.97%27.08萬億
10.80%26.7萬億
-2.67%25.83萬億
當期現金流變化
350.82%4.49萬億
285.29%8.08萬億
-88.45%-9.09萬億
1,481.15%3.64萬億
162.54%1.86萬億
-175.29%-1.79萬億
204.41%2.1萬億
-450.61%-4.82萬億
-90.57%2,301.91億
128.80%7,080.32億
利率變動影響
-113.08%-747.05億
-85.34%580.37億
175.13%1,054.73億
-323.67%-3,346.86億
-41.79%964.71億
1,076.63%5,709.85億
421.01%3,960.06億
-657.21%-1,403.88億
747.29%1,496.32億
651.84%1,657.35億
期末現金流
17.93%29.02萬億
17.93%29.02萬億
-5.57%20.89萬億
10.30%29.87萬億
-0.51%26.56萬億
-4.71%24.61萬億
-4.71%24.61萬億
-20.89%22.12萬億
1.97%27.08萬億
10.80%26.7萬億
自由現金流
8.20%3.67萬億
675.05%7.21萬億
-113.78%-7.09萬億
169.57%7,247.38億
-68.57%2.83萬億
-1.02%3.39萬億
10.46%-1.25萬億
-253.60%-3.32萬億
-120.75%-1.04萬億
482.81%9.01萬億
貨幣單位
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
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--
--
--
無保留意見
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 5.13%4.23萬億852.78%7.43萬億-118.62%-7.02萬億191.20%8,232.91億-67.12%3萬億-2.16%4.02萬億17.61%-9,866.16億-236.83%-3.21萬億-117.70%-9,026.83億526.21%9.12萬億
持續經營淨收入 16.15%5.84萬億11.97%7,387.85億3.33%1.66萬億2.14%1.75萬億60.89%1.7萬億11.10%5.03萬億278.54%6,598.28億18.83%1.6萬億13.70%1.71萬億-29.56%1.06萬億
持續經營損益 -222.16%-1.54萬億-138.08%-4,578.31億102.56%12.12億-253.88%-1.42萬億-33.39%3,393億222.52%1.26萬億232.23%1.2萬億-115.24%-473億-471.38%-4,024.36億194.44%5,093.57億
折舊和攤銷 -0.18%9,146.86億-0.35%2,395.11億-1.80%2,280.45億-1.60%2,232.18億3.24%2,239.12億5.82%9,162.95億3.37%2,403.45億7.23%2,322.19億7.34%2,268.49億5.52%2,168.82億
其他非現金項目 -0.09%-8.47萬億-5.83%-2.02萬億9.22%-2.17萬億2.41%-1.93萬億-7.53%-2.35萬億-60.46%-8.46萬億-95.93%-1.91萬億-187.47%-2.4萬億-51.53%-1.97萬億-0.94%-2.18萬億
營運資金變動 60.62%4.97萬億562.81%8.2萬億-128.18%-7.13萬億239.11%1.46萬億-73.04%2.44萬億71.31%3.09萬億-59.75%-1.77萬億-478.59%-3.12萬億-126.84%-1.05萬億596.13%9.04萬億
-應收款項(增)減 48.99%-487.34億14.17%-211.99億-15.90%-232.59億24.98%-151.46億135.54%108.7億-141.10%-955.39億-232.90%-246.99億-0.75%-200.69億15.21%-201.88億-111.18%-305.83億
-應付款項及遞延費用(減)增 -79.30%797.65億-212.37%-1,377.12億209.52%2,708.17億-175.21%-1,310.72億7,233.21%777.32億145.16%3,853.85億170.02%1,225.5億146.66%874.96億-53.61%1,742.79億100.12%10.6億
-貸款(增)減 15.07%-23.92萬億-17.98%-6.57萬億27.35%-8.28萬億37.19%-5.08萬億-28.14%-3.99萬億-80.97%-28.16萬億-11.98%-5.57萬億-46.70%-11.39萬億-132.69%-8.08萬億-577.65%-3.11萬億
-遞延費用變動 17.51%4,382.53億204.73%1,718.77億-136.53%-855.78億-85.49%355.94億450.24%3,163.6億130.63%3,729.49億32.95%-1,641.16億7.06%2,342.43億119.91%2,453.27億-95.95%574.95億
-其他流動資產變化 -748.44%-9.04萬億46.87%12.18萬億-158.78%-9.39萬億-228.77%-6.5萬億35.96%-5.33萬億136.90%1.39萬億8.20%8.29萬億-176.54%-3.63萬億254.25%5.05萬億-21.37%-8.32萬億
-其他流動負債變化 210.81%5.48萬億-13.30%-16.46萬億60.68%6.74萬億342.86%4.21萬億54.37%10.99萬億-149.65%-4.95萬億-52.79%-14.53萬億11.28%4.2萬億-130.62%-1.73萬億-29.09%7.12萬億
-其他營運資本變化 -6.39%31.97萬億88.47%19.04萬億-50.92%3.63萬億168.91%8.94萬億-97.28%3,618.87億186.80%34.15萬億65.30%10.1萬億20.89%7.4萬億-43.41%3.32萬億315.00%13.32萬億
非持續經營活動現金流
經營活動現金淨額 5.13%4.23萬億852.78%7.43萬億-118.62%-7.02萬億191.20%8,232.91億-67.12%3萬億-2.16%4.02萬億17.61%-9,866.16億-236.83%-3.21萬億-117.70%-9,026.83億526.21%9.12萬億
投資活動現金流量
持續投資活動現金淨額 -44.78%-5.54萬億-980.23%-4.23萬億-138.15%-1.12萬億122.17%6,580.19億75.26%-8,412.74億-8.68%-3.83萬億73.90%-3,920.18億178.45%2.94萬億-20.13%-2.97萬億-181.06%-3.4萬億
投資產品交易淨現金流 -82.62%-5.67萬億-1,334.34%-2.91萬億-135.90%-1.18萬億62.36%-1.14萬億85.96%-4,435.04億-17.70%-3.11萬億78.12%-2,029.28億187.65%3.28萬億-11.02%-3.03萬億-166.38%-3.16萬億
固定資產交易的淨現金流 24.19%-2,415.13億43.02%-844.78億83.42%-133.31億13.28%-496.62億-188.22%-940.42億6.84%-3,185.62億7.15%-1,482.71億-1.91%-803.98億18.79%-572.64億0.74%-326.29億
無形資產交易的淨現金流 21.90%-2,098.27億-5.98%-1,026.15億-111.75%-405.7億69.59%-222.69億44.14%-443.73億17.35%-2,686.58億-129.63%-968.21億80.59%-191.59億-1,088.38%-732.4億55.38%-794.38億
業務交易的淨現金流 -399.19%-2,648.68億-2,278.57%-1.43萬億134.74%693.11億331.09%1.13萬億9.52%-364.39億-93.17%885.28億-91.81%656.41億-877.16%-1,994.98億-65.33%2,626.58億85.99%-402.73億
其他投資活動的淨現金流 189.84%3,568.61億304.64%3,802.92億190.92%426.73億64.47%-264.84億55.93%-396.2億19.95%-3,972.26億34.04%-1,858.31億-130.48%-469.36億82.56%-745.47億-252.90%-899.12億
非持續投資現金淨額
投資活動現金流淨額 -44.78%-5.54萬億-980.23%-4.23萬億-138.15%-1.12萬億122.17%6,580.19億75.26%-8,412.74億-8.68%-3.83萬億73.90%-3,920.18億178.45%2.94萬億-20.13%-2.97萬億-181.06%-3.4萬億
融資活動現金流量
持續融資活動現金淨額 392.26%5.8萬億40.57%4.89萬億79.19%-9,460.56億-47.37%2.16萬億94.03%-2,994.07億-60.11%-1.98萬億402.28%3.48萬億-264.13%-4.55萬億2,289.56%4.1萬億-11.06%-5.01萬億
債務發行/償還的淨現金流 1,308.62%7.24萬億-0.66%4.53萬億148.43%1.07萬億-58.46%1.76萬億97.89%-1,280.77億121.73%5,137.24億354.67%4.56萬億-383.31%-2.21萬億542.20%4.24萬億-26.35%-6.07萬億
普通股發行/償還的淨現金流 -80.49%-1.48萬億-32.14%-4,351.49億-31.74%-2,248.51億-39.86%-3,558.86億-608.17%-4,641.14億-43.42%-8,200億-66.28%-3,293.21億-67.41%-1,706.79億---2,544.63億75.88%-655.37億
現金股利支付 12.42%-1.3萬億-11.71%-3,350.16億-11.55%-3,346.52億---------29.09%-1.49萬億-53.79%-2,998.86億-53.09%-3,000億--------
其他融資活動的淨現金流額 805.09%1.34萬億345.05%1.12萬億21.77%-1.46萬億38.08%1.39萬億-74.03%2,927.84億-106.69%-1,905.83億-662.61%-4,582.04億-181.49%-1.86萬億1,262.92%1萬億99.13%1.13萬億
非持續融資活動現金淨額
融資活動現金流淨額 392.26%5.8萬億40.57%4.89萬億79.19%-9,460.56億-47.37%2.16萬億94.03%-2,994.07億-60.11%-1.98萬億402.28%3.48萬億-264.13%-4.55萬億2,289.56%4.1萬億-11.06%-5.01萬億
現金淨流量
期初現金流 -4.71%24.61萬億-5.57%20.89萬億10.30%29.87萬億-0.51%26.56萬億-4.71%24.61萬億-2.67%25.83萬億-20.89%22.12萬億1.97%27.08萬億10.80%26.7萬億-2.67%25.83萬億
當期現金流變化 350.82%4.49萬億285.29%8.08萬億-88.45%-9.09萬億1,481.15%3.64萬億162.54%1.86萬億-175.29%-1.79萬億204.41%2.1萬億-450.61%-4.82萬億-90.57%2,301.91億128.80%7,080.32億
利率變動影響 -113.08%-747.05億-85.34%580.37億175.13%1,054.73億-323.67%-3,346.86億-41.79%964.71億1,076.63%5,709.85億421.01%3,960.06億-657.21%-1,403.88億747.29%1,496.32億651.84%1,657.35億
期末現金流 17.93%29.02萬億17.93%29.02萬億-5.57%20.89萬億10.30%29.87萬億-0.51%26.56萬億-4.71%24.61萬億-4.71%24.61萬億-20.89%22.12萬億1.97%27.08萬億10.80%26.7萬億
自由現金流 8.20%3.67萬億675.05%7.21萬億-113.78%-7.09萬億169.57%7,247.38億-68.57%2.83萬億-1.02%3.39萬億10.46%-1.25萬億-253.60%-3.32萬億-120.75%-1.04萬億482.81%9.01萬億
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