bf/NYSE:KT_icon.png

COM:KT

KT Corporation

  • Stock

USD

Last Close

16.34

22/11 21:00

Market Cap

6.52B

Beta: -

Volume Today

3.07M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-60.25B
-
-941.41B
1,462.49%
631.29B
167.06%
797.84B
26.38%
561.53B
29.62%
762.30B
35.76%
669.35B
12.19%
703.39B
5.09%
1.46T
107.48%
1.39T
4.92%
1.01T
27.22%
depreciation and amortization
3.62T
-
3.85T
6.46%
3.64T
5.57%
3.42T
6.00%
3.44T
0.47%
3.36T
2.12%
3.68T
9.38%
3.67T
0.35%
3.65T
0.55%
3.71T
1.74%
deferred income tax
54.99B
-
-266.33B
584.31%
348.25B
230.76%
329.18B
5.48%
275.50B
16.31%
328.44B
19.21%
310.33B
5.51%
271.66B
12.46%
519.02B
91.05%
506.40B
2.43%
stock based compensation
314.65B
-
996.83B
216.80%
39.72B
96.02%
76.16B
91.74%
74.69B
1.92%
214.05B
186.57%
158.74B
25.84%
675.76B
325.71%
-148.16B
121.92%
16.80B
111.34%
change in working capital
347.80B
-
-614.35B
276.64%
-517.04B
15.84%
-4.11B
99.20%
-295.90B
7,092.44%
-468.76B
58.42%
-1.01T
115.61%
-413.89B
59.05%
273.00B
165.96%
-1.46T
633.27%
accounts receivables
938.50B
-
13.01B
98.61%
112.67B
766.19%
252.20B
123.83%
-303.34B
220.28%
-81.22B
73.23%
-433.29B
433.50%
66.46B
115.34%
327.03B
392.06%
-43.79B
113.39%
inventory
229.12B
-
301.21B
31.46%
-178.80B
159.36%
152.94B
185.54%
-97.71B
163.89%
-274.21B
180.64%
-23.97B
91.26%
162.33B
777.27%
32.80B
79.80%
-170.77B
620.68%
accounts payables
-145.36B
-
-417.94B
187.52%
81.30B
119.45%
-114.84B
241.26%
162.11B
241.16%
-167.84B
203.54%
44.35B
126.43%
-135.76B
406.08%
289.04B
312.91%
-368.36B
227.44%
other working capital
-674.46B
-
-510.63B
24.29%
-532.21B
4.23%
-294.41B
44.68%
-56.96B
80.65%
54.51B
195.70%
-597.77B
1,196.63%
-506.92B
15.20%
-375.87B
25.85%
-872.92B
132.24%
other non cash items
-166.87B
-
-1.11T
567.06%
87.74B
107.88%
150.18B
71.17%
-175.76B
217.03%
-190.51B
8.39%
-63.08B
66.89%
-164.74B
161.17%
-188.78B
14.59%
-568.63B
201.22%
-1.01T
77.60%
net cash provided by operating activities
4.11T
-
1.92T
53.38%
4.23T
120.72%
4.77T
12.78%
3.88T
18.72%
4.01T
3.42%
3.75T
6.61%
4.74T
26.56%
5.56T
17.34%
3.60T
35.33%
investments in property plant and equipment
-3.64T
-
-3.43T
5.69%
-3.52T
2.44%
-3.22T
8.39%
-3.06T
5.10%
-3.01T
1.59%
-3.80T
26.38%
-3.72T
2.00%
-4.25T
14.15%
-3.99T
6.22%
acquisitions net
-7.19B
-
3B
141.70%
756.79B
25,126.37%
-54.05B
107.14%
15.06B
127.87%
-52.88B
451.01%
-13.05B
75.32%
-314.40B
2,309.23%
-1.11T
252.72%
-280.49B
74.71%
purchases of investments
-588.89B
-
-78.10B
86.74%
-440.48B
464.00%
-641.65B
45.67%
-1.32T
105.87%
-423.81B
67.92%
-1.31T
209.12%
-1.29T
1.20%
-1.51T
16.62%
-3.22T
113.12%
sales maturities of investments
420.73B
-
99.70B
76.30%
606.38B
508.21%
329.07B
45.73%
792.12B
140.71%
654.99B
17.31%
1.14T
74.47%
1.41T
23.25%
1.55T
9.72%
2.44T
58.07%
other investing activites
157.98B
-
235.70B
49.20%
190.54B
19.16%
101.78B
46.59%
86.30B
15.21%
124.67B
44.46%
93.23B
25.21%
163.37B
75.22%
187.16B
14.56%
203.44B
8.70%
net cash used for investing activites
-3.66T
-
-3.17T
13.25%
-2.40T
24.26%
-3.48T
45.09%
-3.48T
0.05%
-2.70T
22.37%
-3.89T
43.76%
-3.76T
3.24%
-5.14T
36.58%
-4.84T
5.82%
debt repayment
-5.96T
-
-8.76T
46.86%
-6.79T
22.41%
-1.84T
72.85%
-1.85T
0.40%
-1.69T
8.93%
-1.86T
10.45%
-2.08T
11.40%
-2.39T
15.35%
-3.22T
34.60%
common stock issued
34.10B
-
1.47T
-
122.92B
91.66%
1.80T
1,360.50%
2.90T
61.52%
28.85B
99.01%
common stock repurchased
10.04T
-
-24.41B
-
-122.92B
403.45%
-114.68B
6.70%
-193.63B
68.84%
-28.85B
85.10%
dividends paid
-511.27B
-
-222.80B
56.42%
-41.58B
81.34%
-184.10B
342.81%
-243.14B
32.07%
-298.63B
22.82%
-305.16B
2.19%
-310.57B
1.77%
-350.33B
12.80%
-476.80B
36.10%
other financing activites
6.16T
-
-19.40B
100.31%
5.67T
29,336.76%
1.09T
80.86%
731.55B
32.60%
4.97B
99.32%
1.92T
38,481.03%
57.58B
97.00%
-3.15B
105.47%
4.37T
138,812.73%
net cash used provided by financing activities
-311.79B
-
1.07T
443.72%
-1.16T
208.61%
-943.27B
18.96%
-1.36T
44.55%
-531.67B
61.01%
-249.75B
53.03%
-647.59B
159.30%
-41.28B
93.63%
669.33B
1,721.36%
effect of forex changes on cash
-3.44B
-
600M
117.44%
6.70B
1,016.67%
-1.67B
124.99%
-3.13B
87.22%
581M
118.54%
-5.48B
1,043.37%
-2.04B
62.74%
1.89B
192.56%
1.72B
9.15%
net change in cash
140.31B
-
-182.20B
229.86%
670.80B
468.17%
340.85B
49.19%
-972.13B
385.21%
775.24B
179.75%
-397.53B
151.28%
328.73B
182.69%
384.97B
17.11%
-570.53B
248.20%
cash at beginning of period
2.06T
-
2.07T
0.65%
1.89T
8.80%
2.56T
35.52%
2.90T
13.32%
1.93T
33.52%
2.70T
40.21%
2.31T
14.70%
2.63T
14.26%
3.02T
14.61%
2.45T
18.89%
cash at end of period
2.20T
-
1.89T
14.07%
2.56T
35.51%
2.90T
13.32%
1.93T
33.52%
2.70T
40.21%
2.31T
14.70%
2.63T
14.26%
3.02T
14.61%
2.45T
18.89%
2.45T
0%
operating cash flow
4.11T
-
1.92T
53.38%
4.23T
120.72%
4.77T
12.78%
3.88T
18.72%
4.01T
3.42%
3.75T
6.61%
4.74T
26.56%
5.56T
17.34%
3.60T
35.33%
capital expenditure
-3.64T
-
-3.43T
5.69%
-3.52T
2.44%
-3.22T
8.39%
-3.06T
5.10%
-3.01T
1.59%
-3.80T
26.38%
-3.72T
2.00%
-4.25T
14.15%
-3.99T
6.22%
free cash flow
472.92B
-
-1.51T
420.33%
714.86B
147.19%
1.55T
116.92%
821.97B
46.99%
1.00T
22.07%
-55.18B
105.50%
1.02T
1,940.19%
1.31T
29.06%
-390.07B
129.77%

All numbers in USD (except ratios and percentages)