KB Financial Group revenue and financials

KB · NYSE · USD

Secondary listing. The primary listing is KB Financial Group · KRX (KRW)

$124.76Change from previous close: +0.01%Absolute change: +$0.01

Close · October 6, 2026

In the fiscal year ended December 2025, KB Financial Group reported revenue of ₩15.88T (+5.84% year over year). Net income was ₩5.83T, a net margin of 36.7%.

Annual revenue · 2025: ₩15.88T
  1. ₩7.44T2016
  2. ₩10.19T2017
  3. ₩10.86T2018
  4. ₩11.43T2019
  5. ₩12.49T2020
  6. ₩14.48T2021
  7. ₩13.78T2022
  8. ₩16.23T2023
  9. ₩15.01T2024
  10. ₩15.88T2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+5.84%
2025 vs 2024
Net income growth
+14.87%
2025 vs 2024
Net margin
36.7%
2024: 33.8%

Financial data

Amounts in millions of KRW; per-share values in KRW; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow-11,413,413-3,036,083-2,974,033-11,914,297-8,624,1544,588,736-8,589,393-7,748,211-2,236,331-1,226,935-8,718,341-896,502
Depreciation and amortization216,820215,663239,511228,045223,218———————
Capital expenditure-56,041-45,145-114,091-21,912-73,577-123,860-162,031-80,470-61,088-33,589-160,101-84,480
Investing cash flow-3,019,085-1,330,606-4,234,696-1,119,948658,019-841,274-392,0182,935,884-2,967,787-3,401,134-1,502,195-3,742,312
Financing cash flow23,549,6311,219,47815,286,0723,944,79511,605,798-1,888,61611,077,826-11,0175,434,3095,336,1018,212,6896,014,534
Dividends paid-1,020,861-44,808-383,086-385,657-686,307-49,633-349,522-349,634-939,552-48,070-243,069-244,037
Share repurchases-307,235-497,059-435,149-224,851-355,886———————
Debt issued25,229,49415,613,95447,143,28717,345,18417,866,68214,718,76053,968,72213,001,4959,936,5489,124,88243,104,11914,769,157
Debt repaid-18,375,550-17,168,657-42,610,923-16,273,824-16,105,900-14,846,837-49,406,262-15,213,672-5,698,173-15,199,816-42,100,656-13,988,326
Effect of exchange rates158,772354,56058,037105,473-334,68696,471396,006-140,388149,632165,735-123,36425,195
Net change in cash9,275,905-2,792,6518,135,380-8,983,9773,304,9771,955,3172,492,421-4,963,732379,823873,767-2,131,2111,400,915
Free cash flow-11,469,454-3,081,228-3,088,124-11,936,209-8,697,7314,464,876-8,751,424-7,828,681-2,297,419-1,260,524-8,878,442-980,982