KB Financial Group Stock Today

KB Stock  USD 100.39  -3.05  -2.95%   
KB Financial Group participates in the Financials sector. Gross profit totals approximately USD15.88 trillion. A workforce of roughly 142 employees supports its operations. EBITDA is approximately USD8.53 trillion.
Performance
Moderate
 
Weak
 
Strong
Odds Of Distress
Low
 
High
 
Low
KB Financial (KB) is trading at $100.39 as of March 21, 2026, representing a 2.95% decrease in today's trading with an intraday range between $99.48 and $104.05. KB Financial carries 6% estimated odds of financial distress over the next several years, indicating a relatively small probability of operating stress. Measured over 90 trading days, KB Financial has produced modest risk-adjusted performance on a risk-adjusted basis. Congressional trade records dated October 5, 2025 show U.S. Representative Sheri Biggs purchased under $15,000 of KB Financial Group stock.
 IPO Date
12th of November 2001
 Asset Type
Stock
 Category
Financial Services
 Classification
Financials

Moving together with KB Financial Stock

  0.85CM Canadian Imperial BankPairCorr
  0.89WSBK Winchester Bancorp CommonPairCorr
  0.89BMO Bank of MontrealPairCorr

Moving against KB Financial Stock

  0.52JPM JPMorgan ChasePairCorr
  0.51WFC Wells Fargo Aggressive PushPairCorr
  0.5BAC Bank of AmericaPairCorr
  0.45HDB HDFC Bank LimitedPairCorr
  0.35BDSB Banco de SabadellPairCorr
  0.31C Citigroup Aggressive PushPairCorr
Follow Valuation Options Odds of Bankruptcy
Check how we calculate scores

Stock Highlights

KB Financial Group (KB) is listed on New York Stock Exchange in USA. KB Financial falls under the Diversified Banks classification. The company is classified under the Banks sector. With a market cap of 37.27 B, KB Financial Group screens as a large-cap company within diversified banks. Useful market capitalization details here include about 358.59 M shares outstanding, enterprise value near 45.79 T, and a workforce of about 142 people. The company has 337.36 K shares sold short (1.13 days to cover). The gap between operating margin (50.02%) and net margin (36.72%) suggests significant non-operating costs such as interest or taxes. Debt-to-equity of 10.47 indicates a leveraged capital structure that may amplify earnings volatility. The company has Return on Asset (ROA) of 0.75 % which implies that asset efficiency is in positive territory at $0.75 per $100. This ranks in the lower tier of the industry. Likewise, it shows a return on total equity (ROE) of 9.68 %, which indicates that stockholder equity earned $9.68 for every $100 deployed.
KB Financial financial risk analysis
Ownership Allocation About 94.17% of KB Financial outstanding shares are held by general public with 5.83% by institutional investors. Of KB Financial's outstanding shares, about 6% are held by institutions and 94% by the general public.
Check KB Financial Ownership Details

KB Financial Group Hype to Price Pattern

Public news sentiment surrounding KB Financial provides a window into collective investor biases that can be used to assess investment risk. Tracking KB Financial's average sentiment trend enables market timing based on headlines and social activity around KB Financial Group. As of 2026-03-06, overall market sentiment toward KB Financial Group appears strongly positive, based on analysis of 2 recent news articles and social media signals.

Open Interest Against 2026-06-18 KB Financial Option Contracts

Current option-chain data for KB Financial Group covers the June 18th 2026 expiration. The chain lists 29 contracts (14 calls and 15 puts). Current chain readings show implied volatility near 0.53, put/call open-interest ratio around 0.7, and max pain near strike 110.0. View the full chain for strike-level positioning. View more details.
KB Financial's options open interest captures participation in the derivatives market. The relationship between open interest and KB Financial price helps frame market activity. Open interest trends can signal changes in derivatives exposure.
ESG Sustainability
KB Financial Group posted an ESG Environmental Score of 86.08, an ESG Governance Score of 64.80, and an ESG Social Score of 84.06 for the reported period. Relative to Diversified Banks, KB Financial's ESG positioning reflects above-average standing. Sustainability metrics may complement traditional financial analysis. ESG disclosures are presented as structured reference data without implied direction.
Environmental
Governance
Social

Notable Updates

Chairman of the Board, Chief Executive OfficerJong Yoon
PresidentChang Lee
Deputy President, Chief Human Resource OfficerPil Yim
Business ConcentrationDiversified Banks, Banks - Regional, Financial Services, NYSE Composite, Financials, Banks, Banks—Regional, Financial Services (View all Sectors)
Average Analyst Recommendation2 analysts cover KB Financial, with a consensus score of 4.00 (Buy). Analyst consensus has held steady with little deviation from the prior period. This reflects recent adjustments in analyst outlook.
Financial Strength
KB Financial Group posted a Gross Profit Margin of 41.0%, an Operating Margin of 50.0%, and a Return On Assets of 0.7% for the reported period. Reviewing balance sheet structure and operating performance, KB Financial Group reflects measured financial stability. Operating returns remain positive, suggesting ongoing earnings capacity. For financial institutions, capital adequacy, leverage ratios, and funding structure are central to financial strength assessment.
Current ValueLast YearChange From Last Year 10 Year Trend
Return On Assets0.00740.0077
Sufficiently Down
Pretty Stable
Asset Turnover0.06630.0573
Fairly Up
Slightly volatile
Gross Profit Margin0.410.4906
Fairly Down
Pretty Stable
Net Debt132.8 T126.5 T
Sufficiently Up
Slightly volatile
Total Current Liabilities547 T521 T
Sufficiently Up
Slightly volatile
Total Assets837.8 T797.9 T
Sufficiently Up
Slightly volatile
Total Current Assets166.5 T158.6 T
Sufficiently Up
Slightly volatile
Debt Levels
KB Financial Group posted $11.36 in Net Debt To EBITDA, a Debt To Equity of 3.21x, and $158316.5 billion in Long Term Debt for the reported period. KB Financial Group's capital structure profile is further characterized by a Long Term Debt To Capitalization of 76.0% and $96347.4 billion in Long Term Debt Total.

Current Assets

KB Financial Group posted $837819.2 billion in Total Assets, a Return On Assets of 0.7%, and a Return On Tangible Assets of 0.7% for the reported period. KB Financial Group's key financial metrics profile is further characterized by a Debt To Assets of 20.0%.

Earnings per Share Projection vs Actual

KB Financial currently shows forward EPS consensus of 4,263, with dispersion from 4,263 to 4,263. EPS TTM stands at 10.26. For KB Financial, EPS is most informative when read together with margin stability and cash-flow conversion.
Analyst EPS estimates for KB Financial's are forward-looking and can change as coverage updates; actual results may differ materially. EPS TTM reflects trailing reported results and does not imply future performance.

Top Institutional Holders

Institutional Holdings for KB Financial represents the portion of its outstanding shares owned by large financial institutions such as pension funds, endowments, and asset managers. These institutions can acquire significant blocks of KB Financial's shares and often influence management decisions.
InstituionRecorded OnShares
Orbis Allan Gray Ltd2025-12-31
378.8 K
Teachers Retirement System Of The State Of Kentucky2025-12-31
347.2 K
Vanguard Group Inc2025-12-31
298.6 K
Royal Bank Of Canada2025-09-30
271.4 K
Hsbc Holdings Plc2025-09-30
265 K
Macquarie Group Ltd2025-09-30
251.3 K
View KB Financial Diagnostics

KB Financial Historical Income Statement

Over the last reporting cycle, Total Revenue is aligned with a rising pattern. Historical records show Total Revenue at 50.69 Trillion in the prior year. This year, Gross Profit is expected to increase toward approximately 26.1 T, whereas Depreciation And Amortization is moving lower toward about 538.8 B. View More Fundamentals

KB Financial Group Against Markets

Stock Overview, Methodology & Data Sources

provides a range of banking and related financial services to consumers and corporations in South Korea and internationally. The company was incorporated in 2008 and is headquartered in Seoul, South Korea. KB Financial employs 142 people. Headquarters are in 26, Gukjegeumyung-ro 8-gil, Seoul, South Korea, 07331. Current valuation profile shows market cap 37.27 B, P/E 4.13, P/B 0.93. KB Financial operates in Diversified Banks, Banks - Regional, Financial Services. This profile combines financial reporting with risk and trading context. More limited liquidity could contribute to wider spreads in certain market environments.

Methodology

Unless otherwise specified, financial data for KB Financial Group is derived from periodic company reporting (annual and quarterly where available). Asset-level metrics are computed daily by Macroaxis LLC and refreshed regularly based on asset type. KB Financial (USA Stocks:KB) prices are typically delayed by approximately 20 minutes from primary exchanges for listed equities. Data may be delayed depending on reporting sources and market conventions. Assumptions: Underlying inputs rely on public filings and market reference sources, including disclosures from U.S. Securities and Exchange Commission (SEC) via EDGAR. Values may reflect publication timing differences. All analytics are generated using standardized, rules-based models designed to promote consistency and comparability across instruments. Model assumptions, reference parameters, and selected computational inputs are available in the Model Inputs section. If you have questions about our data sources or methodology, please contact Macroaxis Support.

Analyst Sources

KB Financial Group has active sell-side coverage. Source-validated coverage currently shows 2 approved analysts, while broader market-consensus totals may differ across providers due to methodology and update timing. 1 analyst has submitted revenue and/or earnings estimates that may be incorporated into Macroaxis consensus inputs where available. Representative analyst firms may include Oppenheimer & Co., Jefferies, Stifel, BMO Capital Markets, HSBC Global Research, among others. Updates may occur throughout the day.

This content is curated and reviewed by:

Vlad Skutelnik - Macroaxis Contributor
Last reviewed on March 19th, 2026

More Resources for KB Financial Stock Analysis