v3.26.1
Parent Company - Summary of Condensed Statements of Cash Flows (Details)
$ in Thousands, ₩ in Millions
12 Months Ended
Dec. 31, 2025
KRW (₩)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
KRW (₩)
Dec. 31, 2023
KRW (₩)
Cash flows from operating activities:        
Net income ₩ 3,227,508 $ 2,234,266 ₩ 3,171,469 ₩ 2,626,894
Interest income        
Other (21,188,743) (14,668,058) (22,013,341) (20,641,554)
Dividend income        
Net cash inflow(outflow) from operating activities 13,642,391 9,444,043 (6,129,300) 1,621,942
Cash flows from investing activities:        
Others 40,489 28,029 (126,765) 8,719
Net cash outflow from investing activities (9,880,603) (6,839,919) (34,299) (2,254,141)
Cash flows from financing activities:        
Redemption of hybrid securities (1,541,784) (1,067,309) (1,708,213) (1,099,392)
Others (41) (28) (17,690) 118
Net cash inflow(outflow) from financing activities 7,685,336 5,320,229 1,245,341 (2,860,177)
Cash and cash equivalents, beginning of the period 27,281,123 18,885,551 30,556,618 34,219,148
Cash and cash equivalents, end of the period 38,499,679 $ 26,651,676 27,281,123 30,556,618
Parent company        
Cash flows from operating activities:        
Net income 1,127,040   1,123,332 1,424,508
Interest income        
Bank subsidiaries (27,356)   (51,778) (63,806)
Other (940)   0 (786)
Dividend income        
Bank subsidiaries (1,352,524)   (1,131,996) (1,372,572)
Non-bank subsidiaries (95,962)   (76,526) (110,384)
Others 1,667,502   1,285,563 1,550,265
Net cash inflow(outflow) from operating activities 1,317,760   1,148,595 1,427,225
Cash flows from investing activities:        
Acquisition of investments in subsidiaries (1,405,504)   (535,541) (898,740)
Increase in advance payments related to investments in subsidiaries 0   (155,388) 0
Others 99,342   973,476 24,992
Net cash outflow from investing activities (1,306,162)   282,547 (873,748)
Cash flows from financing activities:        
Issue of hybrid securities 797,781   1,196,816 498,680
Redemption of hybrid securities (900,000)   (1,000,000) 0
Dividends paid on hybrid securities (150,059)   (158,682) (131,149)
Increase in borrowings and debentures 938,401   599,000 399,234
Redemption of borrowings and debentures (310,000)   (150,000) (260,000)
Dividends paid (931,111)   (882,183) (979,586)
Others (153,201)   (139,688) (104,510)
Net cash inflow(outflow) from financing activities (708,189)   (534,737) (577,331)
Net increase(decrease) in cash and cash equivalents (696,591)   896,405 (23,854)
Cash and cash equivalents, beginning of the period 1,185,912   289,507 313,361
Cash and cash equivalents, end of the period ₩ 489,321   ₩ 1,185,912 ₩ 289,507