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KR:CO:KEPCO

Korea Electric Power Corporation (KEPCO)

  • Stock

Last Close

8.58

22/11 21:00

Market Cap

10.93B

Beta: -

Volume Today

70.55K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
174.31B
-
2.80T
1,505.78%
13.42T
379.33%
7.15T
46.72%
1.44T
79.84%
-1.17T
181.48%
-2.26T
92.72%
2.09T
192.44%
-5.23T
349.91%
-24.43T
367.16%
-4.82T
80.26%
depreciation and amortization
7.39T
-
7.87T
6.51%
8.34T
5.94%
8.96T
7.43%
9.77T
9.07%
10.02T
2.57%
11.13T
11.01%
11.55T
3.77%
11.94T
3.38%
12.46T
4.38%
13.03T
4.58%
deferred income tax
-570.79B
-
1.43T
350.59%
5.24T
266.31%
3.37T
35.77%
2.17T
35.43%
-826.32B
138.03%
-1.00T
21.30%
899.06B
189.70%
-1.86T
306.44%
-9.41T
407.25%
stock based compensation
-1.41T
-
-815.43B
42.34%
-9.47T
1,061.11%
-2.30T
75.73%
-1.05T
54.12%
64.58B
106.12%
1.64T
2,433.56%
-1.82T
211.24%
-1.77T
2.86%
change in working capital
-701.35B
-
-521.33B
25.67%
-2.28T
337.71%
-2.18T
4.48%
-2.61T
19.93%
-3.05T
16.49%
-3.13T
2.70%
-1.22T
61.01%
24.96B
102.05%
-1.62T
6,594.18%
-5.14T
217.19%
accounts receivables
-330.49B
-
96.29B
129.14%
715.50B
643.03%
200.53B
71.97%
-218.33B
208.88%
246.75B
213.02%
95.34B
61.36%
-107.64B
212.89%
-216.73B
101.35%
-1.91T
781.10%
-1.06T
44.46%
inventory
-1.21T
-
-1.15T
5.01%
-1.19T
3.84%
-1.44T
20.95%
-1.37T
4.59%
-1.77T
28.99%
-980.22B
44.67%
-723.50B
26.19%
-1.74T
140.22%
-3.00T
72.65%
147.80B
104.93%
accounts payables
-40.42B
-
-257.61B
537.41%
-1.58T
512.37%
141.99B
109.00%
342.13B
140.94%
478.74B
39.93%
-546.16B
214.08%
-262.99B
51.85%
2.14T
915.47%
2.78T
29.75%
-3.15T
213.38%
other working capital
876.24B
-
786.21B
10.27%
-229.68B
129.21%
-1.08T
371.38%
-1.36T
26.04%
-2.00T
46.51%
-1.70T
15.14%
-125.27B
92.62%
-164.87B
31.61%
506.83B
407.42%
-1.07T
311.90%
other non cash items
2.00T
-
1.28T
36.13%
1.70T
32.52%
1.52T
10.14%
1.53T
0.44%
1.64T
6.94%
1.84T
12.52%
1.71T
7.24%
1.36T
20.20%
-474.28B
134.79%
-1.55T
225.84%
net cash provided by operating activities
6.88T
-
12.05T
74.98%
16.94T
40.66%
16.52T
2.49%
11.25T
31.90%
6.68T
40.62%
8.21T
22.95%
13.21T
60.82%
4.47T
66.13%
-23.48T
624.85%
1.52T
106.48%
investments in property plant and equipment
-14.33T
-
-14.62T
2.01%
-14.14T
3.27%
-12.15T
14.04%
-12.68T
4.33%
-12.38T
2.38%
-14.23T
14.97%
-13.40T
5.82%
-12.78T
4.63%
-12.43T
2.77%
-13.93T
12.06%
acquisitions net
-363.24B
-
28.32B
107.80%
-95.02B
435.49%
-62.82B
33.89%
-196.21B
212.32%
-315.67B
60.88%
-262.13B
16.96%
-336.67B
28.44%
-732.04B
117.43%
-336.14B
54.08%
338.35B
200.66%
purchases of investments
-545.99B
-
-975.10B
78.59%
-5.33T
446.21%
-8.13T
52.65%
-4.79T
41.13%
-2.84T
40.63%
-2.17T
23.80%
-9.20T
325.03%
-5.89T
35.97%
-16.50T
179.91%
-3.64T
77.94%
sales maturities of investments
610.85B
-
1.06T
73.55%
242.86B
77.09%
10.88T
4,378.38%
5.30T
51.30%
2.42T
54.32%
2.78T
15.05%
8.02T
188.14%
7.02T
12.43%
14.18T
101.92%
4.40T
69.01%
other investing activites
123.17B
-
42.45B
65.53%
9.54T
22,377.05%
-175.23B
101.84%
-240.61B
37.31%
101.22B
142.07%
374.43B
269.93%
89.57B
76.08%
29.07B
67.54%
123.68B
325.43%
-241.61B
295.34%
net cash used for investing activites
-14.50T
-
-14.46T
0.30%
-9.77T
32.41%
-9.65T
1.31%
-12.61T
30.70%
-13.01T
3.23%
-13.50T
3.73%
-14.83T
9.87%
-12.35T
16.70%
-14.95T
21.04%
-13.07T
12.57%
debt repayment
-7.44T
-
-8.23T
10.66%
-9.07T
10.15%
-7.87T
13.26%
-8.32T
5.76%
-8.23T
1.10%
-7.64T
7.15%
-8.59T
12.42%
-9.93T
15.62%
-10.98T
10.60%
-12.69T
15.55%
common stock issued
852.96B
-
common stock repurchased
9.63T
-
dividends paid
-58.27B
-
-203.45B
249.17%
-426.34B
109.56%
-2.10T
393.71%
-1.36T
35.57%
-617.05B
54.50%
-112.74B
81.73%
-94.68B
16.02%
-825.54B
771.90%
-55.81B
93.24%
-45.32B
18.79%
other financing activites
15.43T
-
-55.53B
100.36%
4.29T
7,826.81%
2.34T
45.56%
10.42T
346.28%
14.15T
35.74%
13.53T
4.37%
10.57T
21.91%
19.19T
81.65%
50.04T
160.71%
14.30B
99.97%
net cash used provided by financing activities
7.93T
-
1.99T
74.98%
-5.21T
362.27%
-7.64T
46.69%
745.59B
109.76%
5.30T
611.07%
5.78T
8.94%
1.88T
67.43%
8.44T
348.48%
39.00T
362.33%
12.66T
67.53%
effect of forex changes on cash
-36.40B
-
-6.55B
82.01%
24.25B
470.33%
31.08B
28.18%
-70.40B
326.51%
21.10B
129.97%
-37.69B
278.67%
-38.03B
0.90%
51.72B
235.99%
32.90B
36.39%
-2.18B
106.63%
net change in cash
277.36B
-
-436.01B
257.20%
1.99T
555.67%
-731.71B
136.83%
-681.61B
6.85%
-1.01T
48.38%
451.78B
144.67%
219.46B
51.42%
605.65B
175.98%
599.54B
1.01%
1.11T
84.83%
cash at beginning of period
1.95T
-
2.23T
14.19%
1.80T
19.53%
3.78T
110.60%
3.05T
19.34%
2.37T
22.34%
1.36T
42.68%
1.81T
33.26%
2.03T
12.12%
2.64T
29.84%
3.23T
22.75%
cash at end of period
2.23T
-
1.80T
19.53%
3.78T
110.60%
3.05T
19.34%
2.37T
22.34%
1.36T
42.68%
1.81T
33.26%
2.03T
12.12%
2.64T
29.84%
3.23T
22.75%
4.34T
34.26%
operating cash flow
6.88T
-
12.05T
74.98%
16.94T
40.66%
16.52T
2.49%
11.25T
31.90%
6.68T
40.62%
8.21T
22.95%
13.21T
60.82%
4.47T
66.13%
-23.48T
624.85%
1.52T
106.48%
capital expenditure
-14.33T
-
-14.62T
2.01%
-14.14T
3.27%
-12.15T
14.04%
-12.68T
4.33%
-12.38T
2.38%
-14.23T
14.97%
-13.40T
5.82%
-12.78T
4.63%
-12.43T
2.77%
-13.93T
12.06%
free cash flow
-7.44T
-
-2.57T
65.47%
2.81T
209.14%
4.37T
55.68%
-1.43T
132.74%
-5.70T
298.43%
-6.02T
5.60%
-193.19B
96.79%
-8.31T
4,200.62%
-35.90T
332.15%
-12.40T
65.45%

All numbers in (except ratios and percentages)