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Korea Electric Power (KEP)

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  • 12.935
  • -0.415-3.11%
Trading May 15 14:31 ET
16.61BMarket Cap2.85P/E (TTM)

Korea Electric Power (KEP) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
31.52%20.88T
16.14%3.49T
24.95%6.04T
154.95%4.59T
8.35%6.75T
943.00%15.88T
39.27%3.01T
15.83%4.84T
232.35%1.8T
280.65%6.23T
Net income from continuing operations
139.28%8.67T
29.71%1.34T
101.63%3.79T
928.12%1.18T
296.30%2.36T
176.80%3.62T
-18.50%1.03T
125.57%1.88T
106.01%114.42B
112.13%595.94B
Operating gains losses
-52.97%-682.86B
-178.71%-115.96B
-28.07%-425.35B
-1,241.81%-64.09B
71.01%-77.45B
-4,906.60%-446.39B
-29.97%147.33B
-4,475.74%-332.12B
103.34%5.61B
-560.08%-267.21B
Depreciation and amortization
-1.49%13.79T
-1.45%3.33T
-3.61%3.47T
-0.30%3.46T
-0.54%3.53T
7.41%14T
5.93%3.38T
7.53%3.6T
6.80%3.47T
9.34%3.55T
Deferred tax
78.66%2.92T
-98.67%2.14B
42.14%1.56T
108.34%488.82B
513.44%870.17B
157.60%1.63T
162.57%161.16B
164.92%1.1T
122.33%234.63B
107.30%141.85B
Other non cash items
-20.42%3.11T
-24.31%699.48B
-10.70%875.91B
-25.44%741.73B
-21.34%797.17B
4.42%3.91T
8.47%924.17B
-15.92%980.88B
11.04%994.77B
21.64%1.01T
Change In working capital
14.16%-1.87T
168.24%648.47B
-81.92%-2.48T
90.87%-149.35B
-94.05%105.08B
43.16%-2.18T
27.08%-950.24B
-126.84%-1.36T
31.52%-1.64T
291.82%1.76T
-Change in receivables
122.70%63.06B
58.68%-302.33B
27.89%-737.83B
-79.60%68.48B
-9.34%1.03T
73.81%-277.78B
33.58%-731.62B
-140.32%-1.02T
141.79%335.7B
-10.14%1.14T
-Change in inventory
-10.91%-1.57T
17.98%-358.25B
-609.56%-680.83B
89.39%-71.51B
-121.44%-456.2B
-1,055.84%-1.41T
-29.96%-436.8B
-129.22%-95.95B
-289.48%-673.95B
-2.94%-206.01B
-Change in payables and accrued expense
-262.50%-1.8T
-343.13%-875.79B
-68.17%-608.53B
209.34%412.02B
-265.44%-727.6B
88.57%-496.53B
77.88%-197.64B
61.71%-361.86B
67.03%-376.83B
132.28%439.8B
-Change in other current assets
-53.28%-1.23T
13.21%-406.4B
-198.72%-341.47B
99.70%-1.38B
-112.49%-481.2B
-1,995.89%-802.73B
-696.96%-468.27B
615.91%345.91B
-367.38%-453.91B
-175.29%-226.45B
-Change in other current liabilities
59.52%1.01T
28.21%-335.92B
43.30%520.25B
-143.41%-237.24B
27.16%1.06T
-52.84%631.65B
-256.90%-467.91B
-49.61%363.05B
-201.56%-97.47B
27.48%833.98B
-Change in other working capital
848.64%1.65T
116.51%2.93T
-6.74%-630.42B
13.40%-319.71B
-49.13%-325.16B
53.58%174.13B
11.01%1.35T
-179.23%-590.62B
65.29%-369.2B
-227.71%-218.05B
Cash from discontinued investing activities
Operating cash flow
31.52%20.88T
16.14%3.49T
24.95%6.04T
154.95%4.59T
8.35%6.75T
943.00%15.88T
39.27%3.01T
15.83%4.84T
232.35%1.8T
280.65%6.23T
Investing cash flow
Cash flow from continuing investing activities
-30.88%-18.45T
8.62%-2.35T
24.05%-3.87T
-84.60%-5.17T
-94.59%-7.06T
-7.80%-14.09T
12.06%-2.58T
-9.10%-5.09T
24.49%-2.8T
-104.86%-3.63T
Net PPE purchase and sale
-11.24%-15.37T
2.05%-3.76T
2.92%-2.8T
-45.42%-5.09T
-3.49%-3.71T
-1.58%-13.81T
-6.94%-3.84T
1.72%-2.89T
5.79%-3.5T
-6.90%-3.59T
Net intangibles purchase and sale
-8.16%-98.88B
-23.01%-41.72B
-15.61%-15.93B
0.49%-22.5B
11.29%-18.73B
-22.42%-91.42B
-32.56%-33.91B
-246.74%-13.78B
24.37%-22.61B
26.11%-21.12B
Net business purchase and sale
-856.72%-2.08T
14.31%-76.79B
36.11%-54.03B
71.91%-31.73B
-2,878.33%-1.92T
57.90%-217.93B
48.43%-89.61B
-214.65%-84.56B
-1,924.50%-112.96B
121.41%69.19B
Net investment purchase and sale
-947.78%-664.21B
27.54%1.83T
52.05%-1.04T
-99.25%6.42B
-3,336.81%-1.46T
-93.72%78.35B
55.99%1.43T
-22.11%-2.16T
1,432.95%854.39B
-102.07%-42.42B
Net other investing changes
-374.35%-230.86B
-544.83%-302.58B
-26.43%42.17B
-70.71%-28.01B
234.95%57.56B
62.56%-48.67B
21.04%-46.92B
-4.34%57.31B
27.84%-16.41B
60.41%-42.65B
Cash from discontinued investing activities
Investing cash flow
-30.88%-18.45T
8.62%-2.35T
24.05%-3.87T
-84.60%-5.17T
-94.59%-7.06T
-7.80%-14.09T
12.06%-2.58T
-9.10%-5.09T
24.49%-2.8T
-104.86%-3.63T
Financing cash flow
Cash flow from continuing financing activities
31.56%-2.63T
33.41%-1.17T
-244.76%-1.92T
-84.34%94.64B
108.94%360.53B
-130.40%-3.85T
-344.50%-1.75T
-35.49%1.33T
-87.48%604.27B
-179.71%-4.03T
Net issuance payments of debt
40.97%-2.49T
49.61%-948.54B
-255.66%-1.94T
-86.34%75.14B
107.91%326.93B
-134.82%-4.22T
-1,119.67%-1.88T
-37.94%1.25T
-88.67%550B
-181.63%-4.14T
Cash dividends paid
-70.82%-216.78B
83.76%-7.05B
28,550.00%1.72B
----
----
-180.00%-126.9B
-1,699.29%-43.38B
100.20%6M
----
----
Net other financing activities
-85.34%72.83B
-220.17%-210.3B
-76.77%18.58B
67.60%230.95B
-67.69%33.6B
-15.59%496.75B
-67.22%174.99B
58.01%79.98B
976.81%137.8B
1,282.11%103.98B
Cash from discontinued financing activities
Financing cash flow
31.56%-2.63T
33.41%-1.17T
-244.76%-1.92T
-84.34%94.64B
108.94%360.53B
-130.40%-3.85T
-344.50%-1.75T
-35.49%1.33T
-87.48%604.27B
-179.71%-4.03T
Net cash flow
Beginning cash position
-45.13%2.38T
-37.91%2.28T
-27.51%1.93T
-17.20%2.44T
-45.13%2.38T
34.26%4.34T
-18.46%3.66T
-6.81%2.66T
-4.69%2.95T
34.26%4.34T
Current changes in cash
90.33%-199.9B
97.88%-28B
-76.60%251.08B
-22.02%-480.73B
104.05%57.76B
-286.10%-2.07T
-2,333.22%-1.32T
-31.57%1.07T
-63.23%-393.98B
-777.98%-1.43T
Effect of exchange rate changes
-45.73%57.73B
-121.15%-8.2B
253.69%100.18B
-136.39%-36.5B
-93.10%2.25B
4,980.00%106.38B
139.81%38.74B
-186.52%-65.18B
3,141.45%100.31B
40.77%32.52B
End cash Position
-5.97%2.24T
-5.97%2.24T
-37.91%2.28T
-27.51%1.93T
-17.20%2.44T
-45.13%2.38T
-45.13%2.38T
-18.46%3.66T
-6.81%2.66T
-4.69%2.95T
Free cash flow
215.17%4.94T
51.34%-466.99B
62.54%3.03T
68.52%-577.79B
18.38%2.96T
112.59%1.57T
38.16%-959.78B
53.56%1.86T
64.72%-1.84T
136.15%2.5T
Currency Unit
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
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(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 31.52%20.88T16.14%3.49T24.95%6.04T154.95%4.59T8.35%6.75T943.00%15.88T39.27%3.01T15.83%4.84T232.35%1.8T280.65%6.23T
Net income from continuing operations 139.28%8.67T29.71%1.34T101.63%3.79T928.12%1.18T296.30%2.36T176.80%3.62T-18.50%1.03T125.57%1.88T106.01%114.42B112.13%595.94B
Operating gains losses -52.97%-682.86B-178.71%-115.96B-28.07%-425.35B-1,241.81%-64.09B71.01%-77.45B-4,906.60%-446.39B-29.97%147.33B-4,475.74%-332.12B103.34%5.61B-560.08%-267.21B
Depreciation and amortization -1.49%13.79T-1.45%3.33T-3.61%3.47T-0.30%3.46T-0.54%3.53T7.41%14T5.93%3.38T7.53%3.6T6.80%3.47T9.34%3.55T
Deferred tax 78.66%2.92T-98.67%2.14B42.14%1.56T108.34%488.82B513.44%870.17B157.60%1.63T162.57%161.16B164.92%1.1T122.33%234.63B107.30%141.85B
Other non cash items -20.42%3.11T-24.31%699.48B-10.70%875.91B-25.44%741.73B-21.34%797.17B4.42%3.91T8.47%924.17B-15.92%980.88B11.04%994.77B21.64%1.01T
Change In working capital 14.16%-1.87T168.24%648.47B-81.92%-2.48T90.87%-149.35B-94.05%105.08B43.16%-2.18T27.08%-950.24B-126.84%-1.36T31.52%-1.64T291.82%1.76T
-Change in receivables 122.70%63.06B58.68%-302.33B27.89%-737.83B-79.60%68.48B-9.34%1.03T73.81%-277.78B33.58%-731.62B-140.32%-1.02T141.79%335.7B-10.14%1.14T
-Change in inventory -10.91%-1.57T17.98%-358.25B-609.56%-680.83B89.39%-71.51B-121.44%-456.2B-1,055.84%-1.41T-29.96%-436.8B-129.22%-95.95B-289.48%-673.95B-2.94%-206.01B
-Change in payables and accrued expense -262.50%-1.8T-343.13%-875.79B-68.17%-608.53B209.34%412.02B-265.44%-727.6B88.57%-496.53B77.88%-197.64B61.71%-361.86B67.03%-376.83B132.28%439.8B
-Change in other current assets -53.28%-1.23T13.21%-406.4B-198.72%-341.47B99.70%-1.38B-112.49%-481.2B-1,995.89%-802.73B-696.96%-468.27B615.91%345.91B-367.38%-453.91B-175.29%-226.45B
-Change in other current liabilities 59.52%1.01T28.21%-335.92B43.30%520.25B-143.41%-237.24B27.16%1.06T-52.84%631.65B-256.90%-467.91B-49.61%363.05B-201.56%-97.47B27.48%833.98B
-Change in other working capital 848.64%1.65T116.51%2.93T-6.74%-630.42B13.40%-319.71B-49.13%-325.16B53.58%174.13B11.01%1.35T-179.23%-590.62B65.29%-369.2B-227.71%-218.05B
Cash from discontinued investing activities
Operating cash flow 31.52%20.88T16.14%3.49T24.95%6.04T154.95%4.59T8.35%6.75T943.00%15.88T39.27%3.01T15.83%4.84T232.35%1.8T280.65%6.23T
Investing cash flow
Cash flow from continuing investing activities -30.88%-18.45T8.62%-2.35T24.05%-3.87T-84.60%-5.17T-94.59%-7.06T-7.80%-14.09T12.06%-2.58T-9.10%-5.09T24.49%-2.8T-104.86%-3.63T
Net PPE purchase and sale -11.24%-15.37T2.05%-3.76T2.92%-2.8T-45.42%-5.09T-3.49%-3.71T-1.58%-13.81T-6.94%-3.84T1.72%-2.89T5.79%-3.5T-6.90%-3.59T
Net intangibles purchase and sale -8.16%-98.88B-23.01%-41.72B-15.61%-15.93B0.49%-22.5B11.29%-18.73B-22.42%-91.42B-32.56%-33.91B-246.74%-13.78B24.37%-22.61B26.11%-21.12B
Net business purchase and sale -856.72%-2.08T14.31%-76.79B36.11%-54.03B71.91%-31.73B-2,878.33%-1.92T57.90%-217.93B48.43%-89.61B-214.65%-84.56B-1,924.50%-112.96B121.41%69.19B
Net investment purchase and sale -947.78%-664.21B27.54%1.83T52.05%-1.04T-99.25%6.42B-3,336.81%-1.46T-93.72%78.35B55.99%1.43T-22.11%-2.16T1,432.95%854.39B-102.07%-42.42B
Net other investing changes -374.35%-230.86B-544.83%-302.58B-26.43%42.17B-70.71%-28.01B234.95%57.56B62.56%-48.67B21.04%-46.92B-4.34%57.31B27.84%-16.41B60.41%-42.65B
Cash from discontinued investing activities
Investing cash flow -30.88%-18.45T8.62%-2.35T24.05%-3.87T-84.60%-5.17T-94.59%-7.06T-7.80%-14.09T12.06%-2.58T-9.10%-5.09T24.49%-2.8T-104.86%-3.63T
Financing cash flow
Cash flow from continuing financing activities 31.56%-2.63T33.41%-1.17T-244.76%-1.92T-84.34%94.64B108.94%360.53B-130.40%-3.85T-344.50%-1.75T-35.49%1.33T-87.48%604.27B-179.71%-4.03T
Net issuance payments of debt 40.97%-2.49T49.61%-948.54B-255.66%-1.94T-86.34%75.14B107.91%326.93B-134.82%-4.22T-1,119.67%-1.88T-37.94%1.25T-88.67%550B-181.63%-4.14T
Cash dividends paid -70.82%-216.78B83.76%-7.05B28,550.00%1.72B---------180.00%-126.9B-1,699.29%-43.38B100.20%6M--------
Net other financing activities -85.34%72.83B-220.17%-210.3B-76.77%18.58B67.60%230.95B-67.69%33.6B-15.59%496.75B-67.22%174.99B58.01%79.98B976.81%137.8B1,282.11%103.98B
Cash from discontinued financing activities
Financing cash flow 31.56%-2.63T33.41%-1.17T-244.76%-1.92T-84.34%94.64B108.94%360.53B-130.40%-3.85T-344.50%-1.75T-35.49%1.33T-87.48%604.27B-179.71%-4.03T
Net cash flow
Beginning cash position -45.13%2.38T-37.91%2.28T-27.51%1.93T-17.20%2.44T-45.13%2.38T34.26%4.34T-18.46%3.66T-6.81%2.66T-4.69%2.95T34.26%4.34T
Current changes in cash 90.33%-199.9B97.88%-28B-76.60%251.08B-22.02%-480.73B104.05%57.76B-286.10%-2.07T-2,333.22%-1.32T-31.57%1.07T-63.23%-393.98B-777.98%-1.43T
Effect of exchange rate changes -45.73%57.73B-121.15%-8.2B253.69%100.18B-136.39%-36.5B-93.10%2.25B4,980.00%106.38B139.81%38.74B-186.52%-65.18B3,141.45%100.31B40.77%32.52B
End cash Position -5.97%2.24T-5.97%2.24T-37.91%2.28T-27.51%1.93T-17.20%2.44T-45.13%2.38T-45.13%2.38T-18.46%3.66T-6.81%2.66T-4.69%2.95T
Free cash flow 215.17%4.94T51.34%-466.99B62.54%3.03T68.52%-577.79B18.38%2.96T112.59%1.57T38.16%-959.78B53.56%1.86T64.72%-1.84T136.15%2.5T
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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