KBC Groep NV
XBRU:KBC
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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
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
|