KBC Balance Sheet - KBC Groep NV - Alpha Spread

KBC Groep NV
XBRU:KBC

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KBC Groep NV Logo
KBC Groep NV
XBRU:KBC
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Price: 71.36 EUR -0.11% Market Closed
Market Cap: 30.2B EUR
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KBC Groep NV?
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Balance Sheet

Balance Sheet Decomposition
KBC Groep NV

Net Loans 186.9B
Investments 139.2B
PP&E 3.9B
Intangibles 2.4B
Other Assets 29.6B
Total Deposits 260B
Short Term Debt 7B
Long Term Debt 28B
Other Liabilities 43.9B

Balance Sheet
KBC Groep NV

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Balance Sheet
Currency: EUR
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Net Loans
123 189
127 829
133 154
141 463
147 052
155 693
159 348
159 346
177 623
183 005
Investments
103 157
104 127
108 041
105 711
112 604
117 125
130 673
129 673
126 303
132 005
PP&E Net
2 278
2 299
2 451
2 721
2 738
3 248
3 136
3 050
2 989
3 217
PP&E Gross
2 278
2 299
2 451
2 721
2 738
3 248
3 136
3 050
2 989
3 217
Accumulated Depreciation
2 166
2 241
2 247
2 410
2 502
2 656
2 712
2 766
2 892
2 979
Intangible Assets
325
365
402
486
611
581
706
836
985
1 115
Goodwill
933
594
597
719
719
877
845
913
1 346
1 240
Long-Term Investments
204
207
212
240
215
25
24
37
32
30
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
1 744
2 244
2 254
1 564
1 471
1 367
1 518
11 118
9 055
728
Other Assets
2 669
2 292
2 361
2 235
2 485
2 924
3 690
2 285
1 409
705
Total Assets
245 174
N/A
252 356
+3%
275 200
+9%
292 342
+6%
283 808
-3%
290 591
+2%
320 743
+10%
340 346
+6%
354 545
+4%
346 921
-2%
Liabilities
Short-Term Debt
289
374
424
208
1 177
2 748
3 655
3 293
11 098
5 235
Total Deposits
160 616
171 044
192 306
210 389
200 611
203 486
231 028
244 050
258 651
248 401
Other Current Liabilities
98
109
188
148
133
98
79
87
150
99
Total Current Liabilities
387
483
612
356
1 310
2 846
3 734
3 380
11 248
5 334
Long-Term Debt
18 562
17 644
17 018
16 705
17 189
18 430
18 921
20 090
18 913
26 143
Deferred Income Tax
599
549
493
434
247
378
419
348
312
373
Minority Interest
3
0
0
0
0
0
0
0
0
0
Other Liabilities
48 489
46 825
47 414
45 655
44 818
45 229
45 111
49 401
43 602
42 410
Total Liabilities
228 650
N/A
236 545
+3%
257 843
+9%
273 539
+6%
264 175
-3%
270 369
+2%
299 213
+11%
317 269
+6%
332 726
+5%
322 661
-3%
Equity
Common Stock
1 453
1 454
1 455
1 456
1 457
1 458
1 459
1 460
1 461
1 461
Retained Earnings
11 619
12 216
14 200
15 559
16 384
17 230
18 660
19 800
18 168
19 880
Unrealized Security Profit/Loss
1 815
1 782
1 756
1 751
767
1 374
1 470
1 212
1 210
1 424
Treasury Stock
0
0
0
5
3
2
1
0
0
497
Other Equity
1 637
359
54
42
1 028
162
58
605
980
1 992
Total Equity
16 524
N/A
15 811
-4%
17 357
+10%
18 803
+8%
19 633
+4%
20 222
+3%
21 530
+6%
23 077
+7%
21 819
-5%
24 260
+11%
Total Liabilities & Equity
245 174
N/A
252 356
+3%
275 200
+9%
292 342
+6%
283 808
-3%
290 591
+2%
320 743
+10%
340 346
+6%
354 545
+4%
346 921
-2%
Shares Outstanding
Common Shares Outstanding
418
418
418
419
416
416
417
417
417
409
Preferred Shares Outstanding
68
0
0
0
0
0
0
0
0
0

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