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KBC Groep NV · Brussels Belgium (Euronext Brussels: KBC)

Key KBC Groep NV Financials

Company TypePublic -(Euronext Brussels: KBC)
Headquarters
Fiscal Year-EndDecember
2010 Sales (mil.)$16,796.9
2010 Employees54,185
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KBC Groep NV Income Statement

Dec 10Dec 09Dec 08
Revenue 16,796.916,185.124,225.1
Cost of Goods Sold------
Gross Profit 16,796.916,185.124,225.1
Gross Profit Margin------
SG&A Expense2,048.82,776.12,796.4
Depreciation & Amortization------
Operating Income3,101.0(3,955.6)(1,089.5)
Operating Margin18.5%-24.4%-4.5%
Nonoperating Income------
Nonoperating Expenses------
Income Before Taxes2,947.2(3,985.7)(4,238.4)
Income Taxes 108.7(335.4)(886.6)
Net Income After Taxes2,838.6(3,650.4)(3,351.8)
Continuing Operations2,838.6(3,650.4)(3,353.2)
Discontinued Operations 336.6----
Total Operations2,502.0(3,650.4)(3,353.2)
Total Net Income2,502.0(3,650.4)(3,353.2)
Net Profit Margin14.9%-22.6%-13.8%
Diluted EPS from Total Net Income 4.93(10.41)(10.26)
Dividends per Share0.00.0 10.66
All amounts in millions of US Dollars except per share amounts.

KBC Groep NV Balance Sheet

AssetsDec 10Dec 09Dec 08
Current Assets
Cash------
Net Receivables------
Inventories------
Other Current Assets------
Total Current Assets------
Net Fixed Assets3,568.84,141.94,177.8
Other Noncurrent Assets421,585.9460,545.9496,641.6
Total Assets425,154.6464,687.9500,819.3
LiabilitiesDec 10Dec 09Dec 08
Current Liabilities
Accounts Payable------
Short-Term Debt------
Other Current Liabilities------
Total Current Liabilities------
Long-Term Debt------
Other Noncurrent Liabilities400,407.9440,069.8479,146.8
Total Liabilities400,407.9440,069.8479,146.8
Shareholder's Equity
Preferred Stock Equity------
Common Stock Equity24,746.824,618.121,672.5
Total Equity24,746.824,618.121,672.5
Shares Outstanding (thou.)339,766.4339,728.9339,536.4
All amounts in millions of US Dollars except per share amounts.

KBC Groep NV Cash Flow Statement

Dec 10Dec 09Dec 08
Net Operating Cash Flow22,577(4,559)(15,486)
Net Investing Cash Flow(1,582.3)(2,237.2)(42.3)
Net Financing Cash Flow(1,506.8)1,513.5(549.7)
Net Change in Cash19,488.4(5,282.8)(16,078.2)
Depreciation & Amortization
Capital Expenditures
Cash Dividends Paid0.00.0(1,818.3)
All amounts in millions of US Dollars except per share amounts.