Woori Financial Group Inc. (WF)
NYSE: WF · Real-Time Price · USD
67.82
+0.30 (0.44%)
Apr 28, 2026, 4:00 PM EDT - Market closed

Woori Bank Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Cash & Equivalents
-15,024,62214,614,06116,178,68111,253,9867,565,818
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Investment Securities
137,600,00088,306,68654,117,61246,892,95949,370,03054,954,521
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Trading Asset Securities
-29,397,90423,157,08020,265,15318,771,81312,609,086
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Total Investments
137,600,000117,704,59077,274,69267,158,11268,141,84367,563,607
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Gross Loans
424,200,000387,362,795378,885,173358,207,207339,413,913328,360,661
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Allowance for Loan Losses
--3,246,252-3,357,625-2,975,060-2,334,153-1,886,710
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Other Adjustments to Gross Loans
--9,107-9,272-11,360-10,238-7,299
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Net Loans
424,200,000384,107,436375,518,276355,220,787337,069,522326,466,652
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Property, Plant & Equipment
-7,585,5937,293,4296,462,6855,733,3874,953,028
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Goodwill
-386,994482,707445,093397,527345,449
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Other Intangible Assets
-339,844333,004309,658238,960232,229
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Investments in Real Estate
-998,854450,788472,768387,707389,495
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Accrued Interest Receivable
-2,277,9631,779,3101,972,3301,667,3971,049,857
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Other Receivables
-10,223,7059,011,08711,150,7718,344,2359,214,840
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Restricted Cash
-23,475,05712,667,06214,377,93723,125,16213,647,255
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Other Current Assets
-6,530,6863,628,2762,560,3932,328,9492,142,796
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Long-Term Deferred Tax Assets
-413,64972,93793,366109,29931,131
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Other Long-Term Assets
50,800,00032,058,48422,352,00021,360,26421,463,79513,374,006
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Total Assets
612,600,000601,457,286525,753,320498,004,936480,474,396447,183,871
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Accounts Payable
-8,048,5507,236,66510,166,9455,981,4076,953,848
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Accrued Expenses
-4,456,1434,694,4934,339,3143,219,3492,070,639
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Interest Bearing Deposits
372,400,000377,048,346367,368,972357,784,297342,105,209317,899,871
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Total Deposits
372,400,000377,048,346367,368,972357,784,297342,105,209317,899,871
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Short-Term Borrowings
-15,949,27817,553,24412,581,83513,002,6468,270,554
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Current Portion of Leases
-215,836195,077208,254169,785150,618
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Current Income Taxes Payable
-723,368127,126103,655843,555584,491
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Other Current Liabilities
-1,047,608976,769927,341857,607847,192
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Long-Term Debt
88,100,00087,751,68676,917,66471,103,74372,220,71069,082,251
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Long-Term Leases
-325,736332,013126,202149,376192,595
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Long-Term Unearned Revenue
-949,4771,141,515662,401565,478724,188
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Pension & Post-Retirement Benefits
-115,0915,4246,93935,20247,986
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Long-Term Deferred Tax Liabilities
-504,828858,822470,31131,799186,946
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Other Long-Term Liabilities
112,200,00066,462,09112,450,2676,126,2099,664,93111,322,497
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Total Liabilities
572,700,000563,598,038489,858,051464,607,446448,847,054418,333,676
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Common Stock
3,800,0003,802,6763,802,6763,802,6763,640,3033,640,303
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Additional Paid-In Capital
-933,436934,100935,563682,385682,385
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Retained Earnings
28,800,00028,790,05626,950,51024,986,47023,750,15221,392,564
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Treasury Stock
--35,517-35,517-39,348-3,819-3,819
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Comprehensive Income & Other
5,400,0002,526,6882,445,0671,981,520692,876130,586
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Total Common Equity
38,000,00036,017,33934,096,83631,666,88128,761,89725,842,019
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Minority Interest
1,900,0001,841,9091,798,4331,730,6092,865,4453,008,176
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Shareholders' Equity
39,900,00037,859,24835,895,26933,397,49031,627,34228,850,195
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Total Liabilities & Equity
612,600,000601,457,286525,753,320498,004,936480,474,396447,183,871
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Total Debt
88,100,000104,242,53694,997,99884,020,03485,542,51777,696,018
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Net Cash (Debt)
-88,100,000-45,221,416-46,675,839-44,219,808-48,667,680-47,188,256
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Net Cash Per Share
-120520.82-61633.58-62967.12-60130.88-66877.25-65139.60
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Filing Date Shares Outstanding
730.99730.99739.51751.9728.06728.06
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Total Common Shares Outstanding
730.99730.99739.51751.9728.06728.06
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Book Value Per Share
46922.4144195.7740954.7337313.3735229.9432343.07
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Tangible Book Value
38,000,00035,290,50133,281,12530,912,13028,125,41025,264,341
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Tangible Book Value Per Share
46922.4143201.4539851.6936309.5734355.7231549.62
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Source: S&P Capital IQ. Banks template. Financial Sources.