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KOMERCNI BANKA (KMERF)

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  • 54.980
  • 0.0000.00%
15min DelayClose Dec 4 12:26 ET
10.38BMarket Cap12.48P/E (TTM)

KOMERCNI BANKA (KMERF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(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
Assets
Cash cash equivalents and federal funds sold
5.40%87.88B
41.23%115.32B
41.23%115.32B
203.81%73.87B
111.05%74.43B
261.83%83.38B
286.99%81.65B
286.99%81.65B
109.78%24.31B
196.02%35.27B
-Cash and cash equivalents
5.40%87.88B
25.64%91.66B
25.64%91.66B
203.81%73.87B
111.05%74.43B
261.83%83.38B
468.41%72.96B
468.41%72.96B
109.78%24.31B
196.02%35.27B
-Money market investments
----
172.00%23.65B
172.00%23.65B
----
----
----
5.23%8.7B
5.23%8.7B
----
----
Receivables
----
-34.68%113M
-34.68%113M
----
----
----
343.59%173M
343.59%173M
----
----
Prepaid assets
----
6.26%1.04B
6.26%1.04B
----
----
----
-15.44%975M
-15.44%975M
----
----
Net loan
11.98%1.38T
4.20%1.24T
4.20%1.24T
-6.37%1.28T
-0.23%1.25T
-7.77%1.23T
-4.52%1.19T
-4.52%1.19T
10.61%1.37T
6.48%1.26T
-Allowance for loans and lease losses
----
-11.86%10.82B
-11.86%10.82B
----
----
----
1.36%12.28B
1.36%12.28B
----
----
-Trading securities
----
-57.58%14M
-57.58%14M
----
----
----
175.00%33M
175.00%33M
----
----
-Available for sale securities
1.39%238.73B
4.79%182.98B
4.79%182.98B
-0.59%226.38B
18.30%238.07B
8.03%235.47B
6.74%174.62B
6.74%174.62B
4.11%227.71B
-11.89%201.24B
Long term equity investment
----
-1.35%2.64B
-1.35%2.64B
----
----
----
-12.21%2.68B
-12.21%2.68B
----
----
Derivative assets
----
-19.76%22.79B
-19.76%22.79B
----
----
----
-22.44%28.41B
-22.44%28.41B
----
----
Net PPE
----
2.77%8.19B
2.77%8.19B
----
----
----
-0.77%7.97B
-0.77%7.97B
----
----
-Gross PPE
----
4.37%20.27B
4.37%20.27B
----
----
----
1.40%19.42B
1.40%19.42B
----
----
-Accumulated depreciation
----
-5.48%-12.08B
-5.48%-12.08B
----
----
----
-2.98%-11.45B
-2.98%-11.45B
----
----
Assets held for sale
----
-86.21%12M
-86.21%12M
----
----
----
-89.69%87M
-89.69%87M
----
----
Goodwill and other intangible assets
----
0.71%14.65B
0.71%14.65B
----
----
----
4.33%14.55B
4.33%14.55B
----
----
-Goodwill
----
0.00%3.75B
0.00%3.75B
----
----
----
0.00%3.75B
0.00%3.75B
----
----
-Other intangible assets
----
0.95%10.9B
0.95%10.9B
----
----
----
5.93%10.8B
5.93%10.8B
----
----
Other assets
3.30%38.95B
-6.90%4.67B
-6.90%4.67B
3.92%39.52B
-5.79%37.17B
-7.67%37.7B
-1.42%5.02B
-1.42%5.02B
-12.17%38.03B
-13.75%39.46B
Total assets
9.86%1.74T
4.14%1.6T
4.14%1.6T
-2.26%1.62T
4.62%1.6T
-1.79%1.59T
1.30%1.54T
1.30%1.54T
9.77%1.66T
4.53%1.53T
Liabilities
Total deposits
10.77%1.46T
4.62%1.32T
4.62%1.32T
-2.02%1.36T
6.90%1.35T
-0.96%1.32T
2.69%1.27T
2.69%1.27T
12.03%1.39T
5.36%1.26T
Payables
----
34.69%9.08B
34.69%9.08B
----
----
----
-30.78%6.74B
-30.78%6.74B
----
----
-Accounts payable
----
11.09%3B
11.09%3B
----
----
----
-60.36%2.7B
-60.36%2.7B
----
----
-Total tax payable
----
65.08%312M
65.08%312M
----
----
----
-16.00%189M
-16.00%189M
----
----
-Other payable
----
49.79%5.76B
49.79%5.76B
----
----
----
43.08%3.85B
43.08%3.85B
----
----
Long term debt and capital lease obligation
19.96%93.12B
18.84%96.27B
18.84%96.27B
-3.46%75.64B
-1.25%76.93B
-1.47%77.63B
2.01%81.01B
2.01%81.01B
25.72%78.36B
28.21%77.91B
Derivative product liabilities
----
-28.90%14.08B
-28.90%14.08B
----
----
----
-35.33%19.8B
-35.33%19.8B
----
----
Other liabilities
-2.59%58B
1.80%7B
1.80%7B
-9.23%57.83B
-20.75%59.9B
-21.16%59.54B
-8.52%6.88B
-8.52%6.88B
-21.80%63.71B
-14.69%75.58B
Total liabilities
10.71%1.61T
4.60%1.47T
4.60%1.47T
-2.40%1.5T
4.97%1.49T
-2.01%1.45T
1.29%1.41T
1.29%1.41T
10.66%1.53T
5.07%1.41T
Shareholders'equity
Share capital
----
0.00%19.01B
0.00%19.01B
----
----
----
0.00%19.01B
0.00%19.01B
--19.01B
----
-common stock
----
0.00%19.01B
0.00%19.01B
----
----
----
0.00%19.01B
0.00%19.01B
--19.01B
----
Paid-in capital
----
--108.22B
--108.22B
----
----
----
----
----
--102.79B
----
Retained earnings
----
0.60%103.09B
0.60%103.09B
----
----
----
1.63%102.47B
1.63%102.47B
----
----
Less: Treasury stock
----
0.00%577M
0.00%577M
----
----
----
0.00%577M
0.00%577M
----
----
Other equity interest
----
2.64%621M
2.64%621M
----
----
----
3.60%605M
3.60%605M
----
----
Total stockholders'equity
1.79%131.02B
0.45%127.23B
0.45%127.23B
0.75%122.71B
0.41%116.2B
0.75%128.72B
1.28%126.66B
1.28%126.66B
-0.06%121.8B
-1.63%115.73B
Non controlling interests
----
-49.90%1.69B
-49.90%1.69B
-49.74%1.67B
----
----
4.74%3.38B
4.74%3.38B
--3.32B
----
Total equity
0.46%132.71B
-0.86%128.92B
-0.86%128.92B
-0.59%124.37B
0.47%119.58B
0.80%132.1B
1.37%130.04B
1.37%130.04B
0.01%125.12B
-1.54%119.02B
Currency Unit
CZK
CZK
CZK
CZK
CZK
CZK
CZK
CZK
CZK
CZK
(Q1)Mar 31, 2026(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
Assets
Cash cash equivalents and federal funds sold 5.40%87.88B41.23%115.32B41.23%115.32B203.81%73.87B111.05%74.43B261.83%83.38B286.99%81.65B286.99%81.65B109.78%24.31B196.02%35.27B
-Cash and cash equivalents 5.40%87.88B25.64%91.66B25.64%91.66B203.81%73.87B111.05%74.43B261.83%83.38B468.41%72.96B468.41%72.96B109.78%24.31B196.02%35.27B
-Money market investments ----172.00%23.65B172.00%23.65B------------5.23%8.7B5.23%8.7B--------
Receivables -----34.68%113M-34.68%113M------------343.59%173M343.59%173M--------
Prepaid assets ----6.26%1.04B6.26%1.04B-------------15.44%975M-15.44%975M--------
Net loan 11.98%1.38T4.20%1.24T4.20%1.24T-6.37%1.28T-0.23%1.25T-7.77%1.23T-4.52%1.19T-4.52%1.19T10.61%1.37T6.48%1.26T
-Allowance for loans and lease losses -----11.86%10.82B-11.86%10.82B------------1.36%12.28B1.36%12.28B--------
-Trading securities -----57.58%14M-57.58%14M------------175.00%33M175.00%33M--------
-Available for sale securities 1.39%238.73B4.79%182.98B4.79%182.98B-0.59%226.38B18.30%238.07B8.03%235.47B6.74%174.62B6.74%174.62B4.11%227.71B-11.89%201.24B
Long term equity investment -----1.35%2.64B-1.35%2.64B-------------12.21%2.68B-12.21%2.68B--------
Derivative assets -----19.76%22.79B-19.76%22.79B-------------22.44%28.41B-22.44%28.41B--------
Net PPE ----2.77%8.19B2.77%8.19B-------------0.77%7.97B-0.77%7.97B--------
-Gross PPE ----4.37%20.27B4.37%20.27B------------1.40%19.42B1.40%19.42B--------
-Accumulated depreciation -----5.48%-12.08B-5.48%-12.08B-------------2.98%-11.45B-2.98%-11.45B--------
Assets held for sale -----86.21%12M-86.21%12M-------------89.69%87M-89.69%87M--------
Goodwill and other intangible assets ----0.71%14.65B0.71%14.65B------------4.33%14.55B4.33%14.55B--------
-Goodwill ----0.00%3.75B0.00%3.75B------------0.00%3.75B0.00%3.75B--------
-Other intangible assets ----0.95%10.9B0.95%10.9B------------5.93%10.8B5.93%10.8B--------
Other assets 3.30%38.95B-6.90%4.67B-6.90%4.67B3.92%39.52B-5.79%37.17B-7.67%37.7B-1.42%5.02B-1.42%5.02B-12.17%38.03B-13.75%39.46B
Total assets 9.86%1.74T4.14%1.6T4.14%1.6T-2.26%1.62T4.62%1.6T-1.79%1.59T1.30%1.54T1.30%1.54T9.77%1.66T4.53%1.53T
Liabilities
Total deposits 10.77%1.46T4.62%1.32T4.62%1.32T-2.02%1.36T6.90%1.35T-0.96%1.32T2.69%1.27T2.69%1.27T12.03%1.39T5.36%1.26T
Payables ----34.69%9.08B34.69%9.08B-------------30.78%6.74B-30.78%6.74B--------
-Accounts payable ----11.09%3B11.09%3B-------------60.36%2.7B-60.36%2.7B--------
-Total tax payable ----65.08%312M65.08%312M-------------16.00%189M-16.00%189M--------
-Other payable ----49.79%5.76B49.79%5.76B------------43.08%3.85B43.08%3.85B--------
Long term debt and capital lease obligation 19.96%93.12B18.84%96.27B18.84%96.27B-3.46%75.64B-1.25%76.93B-1.47%77.63B2.01%81.01B2.01%81.01B25.72%78.36B28.21%77.91B
Derivative product liabilities -----28.90%14.08B-28.90%14.08B-------------35.33%19.8B-35.33%19.8B--------
Other liabilities -2.59%58B1.80%7B1.80%7B-9.23%57.83B-20.75%59.9B-21.16%59.54B-8.52%6.88B-8.52%6.88B-21.80%63.71B-14.69%75.58B
Total liabilities 10.71%1.61T4.60%1.47T4.60%1.47T-2.40%1.5T4.97%1.49T-2.01%1.45T1.29%1.41T1.29%1.41T10.66%1.53T5.07%1.41T
Shareholders'equity
Share capital ----0.00%19.01B0.00%19.01B------------0.00%19.01B0.00%19.01B--19.01B----
-common stock ----0.00%19.01B0.00%19.01B------------0.00%19.01B0.00%19.01B--19.01B----
Paid-in capital ------108.22B--108.22B----------------------102.79B----
Retained earnings ----0.60%103.09B0.60%103.09B------------1.63%102.47B1.63%102.47B--------
Less: Treasury stock ----0.00%577M0.00%577M------------0.00%577M0.00%577M--------
Other equity interest ----2.64%621M2.64%621M------------3.60%605M3.60%605M--------
Total stockholders'equity 1.79%131.02B0.45%127.23B0.45%127.23B0.75%122.71B0.41%116.2B0.75%128.72B1.28%126.66B1.28%126.66B-0.06%121.8B-1.63%115.73B
Non controlling interests -----49.90%1.69B-49.90%1.69B-49.74%1.67B--------4.74%3.38B4.74%3.38B--3.32B----
Total equity 0.46%132.71B-0.86%128.92B-0.86%128.92B-0.59%124.37B0.47%119.58B0.80%132.1B1.37%130.04B1.37%130.04B0.01%125.12B-1.54%119.02B
Currency Unit CZKCZKCZKCZKCZKCZKCZKCZKCZKCZK
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