KOREA ELECTRIC POWER CORP Financial Summary

Complete Filing Data

KOREA ELECTRIC POWER CORP reported Cash And Cash Equivalents of $2.38 trillion for FY2024.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean KOREA ELECTRIC POWER CORP did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method That Will Not Be Reclassified To Profit Or Loss Net Of Tax-$6.35B-$27.35B$12.31B$3.61B$3.18B-$6.79B$57.09B-$154.69B-$54.91B$89.56B
Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method That Will Be Reclassified To Profit Or Loss Net Of Tax$654.23B$122.99B$509.49B$301.16B-$132.81B$19.34B$57.09B-$154.69B-$54.91B$89.56B
Selling General And Administrative Expense$3.07T$3.06T$3.01T$2.88T$2.68T$2.67T$2.63T$2.76T$2.64T$2.15T
Revenue From Sale Of Goods$91.02T$85.94T$69.18T$58.80T$56.69T$56.89T$57.90T$55.77T$55.38T$54.37T
Revenue From Rendering Of Services$710.45B$750.88B$714.60B$456.40B$429.35B$408.29B$392.87B$351.16B$356.74B$453.49B
Revenue From Construction Contracts$849.11B$785.40B$646.95B$755.00B$812.18B$1.26T$1.74T$3.21T$4.03T$3.76T
Profit Loss From Operating Activities$8.46T-$4.25T-$32.24T-$5.72T$4.10T-$1.71T-$685.11B$5.32T$12.30T$20.28T
Profit Loss Before Tax$5.26T-$7.55T-$33.84T-$7.07T$2.99T-$3.27T-$2.00T$3.61T$10.51T$18.66T
Profit Loss Attributable To Owners Of Parent$3.49T-$4.82T-$24.47T-$5.30T$1.99T-$2.35T-$1.31T$1.30T$7.05T$13.29T
Profit Loss Attributable To Noncontrolling Interests$130.27B$106.41B$37.75B$88.94B$101.61B$81.98B$140.07B$142.67B$99.75B$127.25B
Profit Loss$3.62T-$4.72T-$24.43T-$5.22T$2.09T-$2.26T-$1.17T$1.44T$7.15T$13.42T
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans-$296.14B-$271.72B$663.10B$210.41B-$69.80B$42.32B-$108.17B$170.34B-$75.93B-$87.86B
Other Comprehensive Income Net Of Tax Cash Flow Hedges$11.87B-$3.65B-$24.42B-$15.78B$64.56B$19.24B$211.0M$20.87B$28.41B$4.41B
Other Comprehensive Income$629.00B-$228.67B$1.25T$599.61B-$219.84B$135.20B-$106.93B-$94.72B-$2.30B$34.01B
Income Taxes Paid Refund Classified As Operating Activities$792.31B$566.42B$448.86B$736.76B$452.20B$282.21B$450.29B$2.30T$3.30T$935.07B
Income Tax Expense Continuing Operations$1.63T-$2.84T-$9.41T-$1.86T$899.06B-$1.00T-$826.32B$2.17T$3.37T$5.24T
Gross Profit$10.61T-$2.22T-$30.36T-$3.63T$6.12T$788.25B$1.83T$7.24T$14.21T$13.12T
Cost Of Sales$81.96T$89.70T$100.90T$63.64T$51.80T$57.78T$58.21T$52.10T$45.55T$45.46T
Comprehensive Income Attributable To Owners Of Parent$4.07T-$5.03T-$23.27T-$4.74T$1.80T-$2.24T-$1.43T$1.23T$7.04T$13.31T
Comprehensive Income Attributable To Noncontrolling Interests$180.79B$87.77B$90.93B$127.55B$70.29B$110.81B$145.05B$116.48B$104.47B$142.25B
Comprehensive Income$4.25T-$4.94T-$23.18T-$4.62T$1.87T-$2.13T-$1.28T$1.35T$7.15T$13.45T
Adjustments For Interest Expense$4.67T$4.45T$2.82T$1.91T$2.00T$2.05T$1.87T$1.79T$1.75T$2.02T
Adjustments For Income Tax Expense$1.63T-$2.84T-$9.41T-$1.86T$899.06B-$1.00T-$826.32B$2.17T$3.37T$5.24T
Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Property Plant And Equipment$11.24B$17.03B-$97.43B$4.06B$80.41B$50.03B$710.16B$51.07B$0.00$30.34B
Adjustment For Impairment Loss On Investments In Associates And Joint Ventures$69.17B$19.0M$5.17B$0.00$1.56B$22.52B$7.91B$27.24B$115.54B$0.00
Cost Of Goods Sold$48.45T$41.24T$41.35T

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014
Cash And Cash Equivalents$2.38T$4.34T$3.23T$2.64T$2.03T$1.81T$1.36T$2.37T$3.05T$3.78T$1.80T
Purchase Of Property Plant And Equipment Classified As Investing Activities$14.22T$13.91T$12.35T$12.69T$13.28T$14.00T$12.27T$12.54T$12.03T$14.05T
Purchase Of Intangible Assets Classified As Investing Activities$91.85B$74.83B$80.51B$113.10B$120.37B$229.43B$110.59B$143.89B$124.42B$87.95B
Other Inflows Outflows Of Cash Classified As Investing Activities-$189.28B-$119.32B-$186.41B-$225.95B-$185.48B-$157.12B-$53.77B$1.41B-$20.40B-$145.41B
Loss On Disposal Of Investments In Associates And Joint Ventures$650.0M$0.00$1.68B$64.12B$16.0M$2.0M$2.18B$0.00$2.94B$0.00
Issue Of Equity-$1.82B$6.02B$126.79B$75.21B-$5.45B$21.07B$18.22B$17.00B$16.56B$14.87B
Gain On Disposal Of Investments In Associates And Joint Ventures$186.07B$18.20B$11.09B$1.84B$10.17B$70.09B$5.08B$609.0M$52.0M$4.73B
Equity Changes In Consolidation Scope$9.0M$336.0M$31.71B$59.68B$5.68B$24.93B$9.53B$7.34B$3.71B-$16.46B
Cash Flows From Used In Operating Activities$15.88T$1.52T-$23.48T$4.49T$13.21T$8.21T$6.68T$11.25T$16.52T$16.94T
Cash Flows From Used In Investing Activities-$14.09T-$13.07T-$14.95T-$12.37T-$14.83T-$13.50T-$13.01T-$12.61T-$9.65T-$9.77T
Cash Flows From Used In Financing Activities-$3.85T$12.66T$39.00T$8.44T$1.88T$5.78T$5.30T$745.59B-$7.64T-$5.21T
Adjustments For Increase Decrease In Trade Account Payable-$109.21B$3.15T-$2.78T-$2.14T$262.99B$546.16B$478.74B$342.13B$141.99B-$1.58T
Adjustments For Increase Decrease In Other Current Liabilities$2.26T-$901.69B-$446.06B-$379.38B-$388.16B-$373.40B$250.11B-$126.32B$284.42B$870.95B
Adjustments For Increase Decrease In Employee Benefit Liabilities$208.25B$281.38B$218.32B$159.48B$74.85B$65.24B-$89.25B-$69.49B-$53.48B-$43.10B
Adjustments For Decrease Increase In Trade Account Receivable-$2.70B$1.48T$1.91T$216.73B$107.64B-$95.35B$246.76B-$218.33B$200.53B$715.50B
Adjustments For Decrease Increase In Other Operating Receivables-$101.04B-$56.46B-$80.24B-$24.31B$32.54B$116.58B-$61.96B-$1.27B$10.09B-$9.44B
Adjustments For Decrease Increase In Other Current Assets$656.59B-$251.84B$651.93B$569.73B$462.13B$271.99B-$148.51B$37.58B-$259.49B$67.52B
Adjustments For Decrease Increase In Non Trade Account Receivable$191.53B-$625.99B-$80.44B-$869.87B-$459.52B-$64.03B$154.58B-$31.81B-$68.32B-$17.10B
Adjustment For Losses On Sale Of Financial Assets$434.0M$1.0M$1.84B$1.05B$648.0M$2.11B$1.0M$2.34B$9.0M$3.01B
Adjustment For Losses On Disposal Of Intangible Assets$111.0M$71.0M$116.0M$145.0M$392.0M$827.0M$43.0M$183.0M$158.0M$16.0M
Adjustment For Loss On Disposal Of Investments In Associates And Joint Ventures$650.0M$0.00$1.68B$64.12B$16.0M$2.0M$2.18B$0.00$2.94B$0.00
Adjustment For Loss On Abandonment Of Property Plant And Equipment$195.70B$196.70B$160.91B$207.93B$255.35B$364.23B$481.18B$424.09B$426.52B$365.06B
Adjustment For Investments In Associates And Joint Ventures-$364.29B-$592.81B-$473.70B-$288.24B-$237.70B-$215.61B$175.18B$106.98B$75.41B$114.71B
Adjustment For Gains On Disposal Of Intangible Assets$41.0M$136.0M$41.0M$1.0M$1.56B$206.0M$12.0M$564.0M$0.00$32.0M

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities$402.60B$309.63B$629.92B$278.00B$331.78B$522.74B$234.14B$85.80B$207.96B$9.84T
Proceeds From Sales Of Intangible Assets Classified As Investing Activities$428.0M$153.0M$279.0M$59.0M$10.87B$7.70B$13.0M$1.07B$430.0M$467.0M
Proceeds From Government Grants Classified As Investing Activities$59.50B$57.21B$50.76B$37.92B$41.21B$21.71B$30.42B$55.53B$32.88B$52.70B
Payments To Plan Asset$254.76B$188.57B$347.78B$317.71B$582.28B$348.39B-$330.06B-$325.08B-$312.13B-$214.45B
Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes-$2.07T$1.11T$566.65B$553.94B$257.49B$489.48B-$1.03T-$611.21B-$762.79B$1.96T
Increase Decrease In Cash And Cash Equivalents-$1.96T$1.11T$599.54B$605.65B$219.46B$451.78B-$1.01T-$681.61B-$731.71B$1.99T
Effect Of Exchange Rate Changes On Cash And Cash Equivalents$106.38B-$2.18B$32.90B$51.72B-$38.03B-$37.69B$21.10B-$70.40B$31.08B$24.25B
Net Cash Provided By Used In Operating Activities Continuing Operations$15.52T$10.31T$8.82T$15.25T$21.61T$19.88T

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2020FY2019FY2018
Earnings Per Share Basic And Diluted$3,102.00$-3,654.00$-2,048.00

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Other Income$1.30T$1.28T$1.10T$1.03T$1.04T$997.97B$969.89B$869.12B$840.18B$808.21B
Other Gains Losses$84.88B$22.69B$243.12B$8.52B$35.09B-$582.26B-$621.12B$156.63B$70.50B$8.61T
Other Expense By Function$465.69B$258.91B$212.15B$257.93B$417.72B$241.91B$231.33B$180.06B$188.62B$108.85B
Interest Received Classified As Operating Activities$390.67B$329.74B$220.47B$201.02B$215.18B$186.12B$194.22B$173.23B$240.88B$133.88B
Interest Paid Classified As Operating Activities$4.70T$4.25T$2.52T$1.93T$2.08T$2.03T$1.90T$1.89T$2.04T$2.18T
Increase In Loans$172.85B$212.99B$401.38B$223.95B$336.74B$335.77B$188.68B$218.70B$206.09B$153.57B
Increase In Deposits$154.50B$138.21B$237.27B$222.92B$276.26B$280.64B$299.56B$397.08B$468.73B$352.67B
Finance Income$3.45T$1.43T$1.83T$1.40T$1.51T$1.01T$796.87B$1.53T$791.54B$1.18T
Finance Costs$7.54T$5.35T$4.75T$3.25T$2.90T$2.78T$2.47T$3.13T$2.44T$3.02T
Dividends Received Classified As Operating Activities$12.24B$25.94B$28.88B$10.52B$7.32B$24.26B$11.18B$10.59B$10.29B$38.57B
Dividends Paid Hybrid Bond Classified As Financing Activities$10.32B$10.21B$13.46B$13.39B$13.39B$13.39B$17.66B$15.86B$16.46B$16.46B
Dividends Paid Hybrid Bond$10.32B$10.21B$13.46B$13.39B$13.39B$13.39B-$13.39B$15.86B$16.46B-$4.0M
Dividends Paid Classified As Financing Activities$126.90B$45.32B$42.35B$812.16B$81.30B$99.36B$599.39B$1.34T$2.09T$409.88B
Dividends Paid$126.90B$45.32B$42.34B$812.14B$81.01B$99.26B-$599.89B$1.34T$2.09T$407.05B
Decrease In Deposits$152.80B$130.22B$141.00B$166.07B$280.94B$275.31B$259.93B$110.38B$161.17B$185.15B
Collection Of Loans$226.94B$124.39B$102.06B$218.70B$215.29B$292.75B$100.01B$120.97B$117.56B$111.71B
Adjustments For Provisions$1.76T$1.61T$2.15T$2.47T$1.50T$1.47T-$1.13T-$1.39T-$1.53T-$1.03T
Adjustments For Interest Income$467.53B$429.62B$340.75B$221.87B$242.59B$268.12B$223.77B$206.14B$241.78B$241.59B
Adjustments For Dividend Income$70.60B$25.94B$28.88B$10.52B$7.32B$13.84B$12.78B$11.48B$9.45B$14.07B
Adjustments For Depreciation Expense$13.83T$12.87T$12.31T$11.78T$11.38T$10.97T$9.91T$9.66T$8.88T$8.27T
Adjustments For Decrease Increase In Inventories$1.41T-$147.80B$3.00T$1.74T$723.50B$980.22B-$1.77T-$1.37T-$1.44T-$1.19T
Adjustments For Amortisation Expense$163.57B$163.17B$156.16B$166.16B$170.47B$156.92B$118.94B$113.67B$79.72B$72.27B

Most recent annual filing with the SEC: April 28, 2025

Data sourced from SEC EDGAR public filings as of August 5, 2026.