KBC Group SA Cash Flow from Operating Activities 2010-2024 | KBCSY
KBC Group SA annual/quarterly cash flow from operating activities history and growth rate from 2010 to 2024. Cash flow from operating activities can be defined as a company's cash flows from operations.
- KBC Group SA cash flow from operating activities for the quarter ending September 30, 2024 was $-1.114B, a 85.48% decline year-over-year.
- KBC Group SA cash flow from operating activities for the twelve months ending September 30, 2024 was $-4.803B, a 7.6% decline year-over-year.
- KBC Group SA annual cash flow from operating activities for 2023 was $-21.856B, a 276.31% decline from 2022.
- KBC Group SA annual cash flow from operating activities for 2022 was $12.397B, a 25.39% decline from 2021.
- KBC Group SA annual cash flow from operating activities for 2021 was $16.614B, a 44.84% decline from 2020.
KBC Group SA Annual Cash Flow Ops (Millions of US $) |
2023 |
$-21,856 |
2022 |
$12,397 |
2021 |
$16,614 |
2020 |
$30,121 |
2019 |
$-2,757 |
2018 |
$-9,403 |
2017 |
$14,539 |
2016 |
$19,934 |
2015 |
$11,775 |
2014 |
$6,048 |
2013 |
$17,576 |
2012 |
$8,079 |
2011 |
$-1,805 |
2010 |
$22,615 |
2009 |
$-4,436 |
Sector |
Industry |
Market Cap |
Revenue |
Finance |
Banks - Foreign |
$37.813B |
$27.103B |
KBC Group NV is an integrated bank-insurance group, catering mainly for retail, private banking, SME and mid-cap clients. Its operating segment consists of Belgium Business, Czech Republic Business, International Markets Business and Group Centre. The Belgium Business segment engages in the retail and private banc assurance activities. The Czech Republic Business segment comprises all KBC's activities. The Group Centre segment includes the operating results of the group's holding-company activities. The International Markets Business segment comprises the activities conducted by entities in the other Central and Eastern European core countries. KBC Group NV is headquartered in Brussels, Belgium.
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