20-F 1 d233658d20f.htm FORM 20-F Form 20-F
0.5 p.0.5 p.0.5 p.Negative correlationNegative correlationNegative correlationNegative correlationNegative correlationNegative correlationPositive correlationPositive correlationCash-settledFinancial information is based on its consolidated financial statements. Includes fair value adjustments arising from the acquisition.Financial information is based on its consolidated financial statements. Includes fair value adjustments arising from the acquisition.Financial information is based on its consolidated financial statements. Includes fair value adjustments arising from the acquisition.Financial information is based on its consolidated financial statements. Includes fair value adjustments arising from the acquisition.Financial information is based on its consolidated financial statements. Includes fair value adjustments arising from the acquisition.Financial information is based on its consolidated financial statements. Includes fair value adjustments arising from the acquisition.2021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-312021-12-31Services fulfillment, market performance 0~30%, and non-market performance 70~100%Services fulfillment, market performance 0~30%, and non-market performance 70~100%Services fulfillment, market performance 0~30%, and non-market performance 70~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 30%, and non-market performance 70%Services fulfillment, market performance 30%, and non-market performance 70%Services fulfillment, market performance 0~30%, and non-market performance 70~100%Services fulfillment, market performance 30%, and non-market performance 70%Services fulfillment, market performance 35%, and non-market performance 65%Services fulfillment, market performance 0~30%, and non-market performance 70~100%Services fulfillment, market performance 30%, and non-market performance 70%Services fulfillment, market performance 30%, and non-market performance 70%Services fulfillment, market performance 30%, and non-market performance 70%Services fulfillment, market performance 30~50%, and non-market performance 50~70%Services fulfillment, market performance 30~50%, and non-market performance 50~70%Services fulfillment, market performance 0~50%, and non-market performance 50~100%Services fulfillment, market performance 30~50%, and non-market performance 50~70%Services fulfillment, market performance 0~30%, and non-market performance 70~100%Services fulfillment, market performance 30%, and non-market performance 70%0001445930falseFYKRKRCash-settledM5Includes post-employment benefits amounting to ₩ 2,575 million and₩ 2,840 million recognized as other operating expenses and ₩ 121 million and ₩ 176 million recognized as prepayment for the years ended December 31, 2019 and 2020, and post-employment benefits amounting to ₩ 3,194 million recognized as other operating expenses for the year ended December 31, 2021.Fees from financial instruments at fair value through profit or lossEffect of business combination is excluded.After netting of allowanceAmount includes loans measured at fair value through profit or loss, other comprehensive income, and amortized cost.Financial liabilities measured or designated at fair value through profit or loss and derivatives held for trading are not managed by contractual maturity because they are expected to be traded or redeemed before maturity. Therefore, the carrying amounts of those financial instruments are included in the ‘On demand’ category.Cash flows of derivatives held for hedging are shown at net amount of cash inflows and outflows by remaining contractual maturity.Deposits that are contractually repayable on demand or on short notice are included in the ‘On demand’ category.Commitments are included in the ‘On demand’ category because payments can be requested at any time.Cash flows under financial guarantee contracts are classified based on the earliest period that the contract can be executed.Assets and liabilities of the reporting segments are amounts before intersegment transactions.Before netting of allowanceGains or losses arising from some daily mark-to-market futures are reflected in the margin accounts.Includes deferred loan origination costs related to credit card receivables, loans for installment credit, and finance lease receivables.Includes deferred loan origination fees related to loans in foreign currencies executed by PT Bank KB Bukopin Tbk and PRASAC Microfinance Institution Plc.Provision for credit losses in the consolidated statements of comprehensive income also includes provision (reversal) for credit losses of due from financial institutions (Note 7.3), provision (reversal) for credit losses of financial investments (Note 12.5), provision (reversal) for credit losses of unused commitments, acceptances and guarantees (Note 24.2), provision (reversal) for credit losses of financial guarantee contracts (Note 24.3), and provision (reversal) for credit losses of other financial assets (Note 19.2).Includes ₩ 379,179 million and ₩ 387,860 million of collections from written-off loans for the years ended December 31, 2020 and 2021, respectively.Includes additional allowances of ₩ 43,777 million and ₩ 50,360 million for industries and borrowers which are highly affected by COVID-19 and ₩ 29,861 million and ₩ 53,490 million due to expanding the scope of the loans subject to lifetime expected credit losses (non-impaired) as of December 31, 2020 and 2021, respectively. Includes additional allowances of ₩ 23,325 million due to expanding the scope of the loans subject to individual assessment as of December 31, 2020.As of December 31, 2020 and 2021, the Group can exercise significant influence on the decision-making processes of the associate’s financial and business policies through participation in governing bodies.In order to direct relevant activities, it is necessary to obtain the consent of the two co-operative members; the Group has applied the equity method as the Group cannot control the investee by itself.The ownership of Paycoms Co., Ltd. would be 22.96% and 21.84% as of December 31, 2020 and 2021, respectively, considering the potential voting rights of convertible bonds.The ownership of Food Factory Co., Ltd. would be 30.00% and 30.00% as of December 31, 2020 and 2021, respectively, considering the potential voting rights of convertible bonds.As of December 31, 2020 and 2021, the Group participates in the investment management committee but cannot exercise control.Includes depreciation expenses amounting to ₩ 123 million and ₩ 196 million recorded as other operating expenses and others for the years ended December 31, 2020 and 2021, respectively.Includes transfers with investment properties and assets held for sale.Includes transfers with property and equipment and assets held for sale.The investment was classified as assets of a disposal group held for sale as of December 31, 2021.The condensed financial information of the associates and joint ventures is adjusted to reflect adjustments, such as fair value adjustments recognized at the time of acquisition and adjustments for differences in accounting policies.Gains on disposal of investments in associates and joint ventures amount to ₩ 24,768 million ₩ 62,048 million for the years ended December 31, 2020 and 2021, respectively.The investment was reclassified from associates to subsidiaries during the year ended December 31, 2020 due to additional share purchase.Includes ₩ 173,992 million and ₩ 189,791 million recorded as insurance expenses and other operating expenses for the years ended December 31, 2020 and 2021, respectively.Impairment losses for membership right with indefinite useful life among other intangible assets are recognized when its recoverable amount is lower than its carrying amount, and reversal of impairment losses are recognized when its recoverable amount is higher than its carrying amount.Includes Purchase Price Allocation (“PPA”) amount arising from the acquisition of Prudential Life Insurance Company of Korea Ltd., KB Insurance Co., Ltd., and others.Includes PPA amount arising from the acquisition of Prudential Life Insurance Company of Korea Ltd., KB Insurance Co., Ltd., and others.Acquisition cost of buildings held for sale is net of accumulated depreciation amount immediately before the initial classification of the assets as held for sale.Adjustment index is calculated using the time factor correction or local factors or individual factors.The appraisal value is adjusted by the adjustment ratio in the event the public sale is unsuccessful.Fair value of the liability component of exchangeable bonds is calculated by using market interest rate of bonds under the same conditions without the exchange right. The residual amount after deducting the liability component from the issuance amount, represents the value of the exchange right and is recorded in equity. Shares to be exchanged are 5 million treasury shares of KB Financial Group Inc. with the exchange price of ₩ 48,000. Exercise period for exchange right is from the 60th day of the issuance date to 10 days before the maturity date.Includes provisions for redemption-suspended funds.Includes additional provisions of ₩ 14,974 million and ₩ 15,664 million for industries and borrowers which are highly affected by COVID-19 and ₩ 28,385 million and ₩ 33,393 million due to expanding the scope of the loans subject to lifetime expected credit losses (non-impaired) as of December 31, 2020 and 2021, respectively.The net defined benefit liabilities of ₩ 188,970 million is calculated by subtracting ₩ 50,597 million of net defined benefit assets from ₩ 239,567 million of net defined benefit liabilities as of December 31, 2020. The net defined benefit liabilities of ₩ 125,438 million is calculated by subtracting ₩ 100,083 million of net defined benefit assets from ₩ 225,521 million of net defined benefit liabilities as of December 31, 2021.Amount determined under the promotion compensation type defined contribution plan is excluded.With respect to the allocation of net profit earned in a fiscal term, the Parent Company must set aside in its legal reserve an amount equal to at least 10% of its profit after tax as reported in the financial statements, each time it pays dividends on its net profits earned until its legal reserve reaches the aggregate amount of its paid-in capital in accordance with Article 53 of the Financial Holding Company Act. This reserve is not available for the payment of cash dividends, but may be transferred to share capital, or used to reduce accumulated deficit.Applicable income tax rate for ₩ 200 million and below is 11%, for over ₩ 200 million to ₩ 20 billion is 22%, for over ₩ 20 billion to ₩ 300 billion is 24.2% and for over ₩ 300 billion is 27.5% for the years ended December 31, 2019, 2020 and 2021.Assessed based on the stock price as of December 31, 2021. These shares are vested immediately at grant date.Mileage stock is exercisable for two years after one year from the grant date at the closing price of the end of the previous month. However, mileage stock can be exercised at the closing price of the end of the previous month on the date of occurrence of retirement or transfer despite a one-year grace period.Includes KB Securities Co., Ltd.’s OTC derivatives consisting of ₩ 128,083 million of financial assets at fair value through profit or loss (debt instruments), ₩ 7,817,514 million of financial liabilities designated at fair value through profit or loss, ₩ 209,809 million of derivative financial assets, and ₩ 168,464 million of derivative financial liabilities.The amounts included in Level 2 are the carrying amounts which are reasonable approximations of fair value.The amounts included in Level 3 are the carrying amounts which are reasonable approximations of fair value.Borrowings of ₩ 292 million and ₩ 2,143 million included in Level 2 are the carrying amounts which are reasonable approximations of fair value as of December 31, 2020 and 2021, respectively.For financial instruments at fair value through profit or loss, changes in fair value are calculated by shifting principal unobservable input parameters such as discount rate, recovery rate, liquidation value by ±1%p and volatility of underlying asset, growth rate by ±1%p or ±10% and correlation coefficient by ±10%.For beneficiary certificates, it is practically impossible to analyze sensitivity of changes in unobservable inputs. However, for beneficiary certificates whose underlying assets are real estates, changes in fair value are calculated by shifting rate of real estate price fluctuation by -1%p~1%p, and for beneficiary certificates whose underlying assets are equity investments, changes in fair value are calculated by shifting principal unobservable input parameters such as liquidation value by -1%p~1%p and discount rate by -1%p~1%p. There is no significant correlation among major unobservable inputs.For equity securities, changes in fair value are calculated by shifting principal unobservable input parameters such as correlation between discount rate (-1%p~1%p) and growth rate (-1%p~1%p) or correlation between liquidation value (-1%p~1%p) and discount rate (-1%p~1%p).For derivative financial instruments, changes in fair value are calculated by shifting principal unobservable input parameters such as price of underlying asset and volatility by ± 10%.For loans measured at fair value through other comprehensive income, changes in fair value are calculated by shifting principal unobservable input parameters such as discount rate and growth rate by ±1%p.For loans, changes in fair value are calculated by shifting principal unobservable input parameters such as discount rate by -1%p~1%p.The Group has an obligation to early redeem the securitized debentures in the event of situations prescribed by the asset securitization contract, such as the remaining balance of the eligible underlying assets in trust-type asset securitization is below the solvency ratio (minimum ratio: 104.5%) of the beneficiary interest in the trust. To avoid such early redemption, the Group entrusts credit card accounts and deposits in addition to the previously entrusted credit card accounts.Includes bonds sold under repurchase agreements to customers.Included in property and equipment, intangible assets, and other liabilities.Financial information is based on its consolidated financial statements.Includes fair value adjustments arising from the acquisition.Maximum exposure includes the asset amounts, after deducting loss (provisions for credit losses, impairment losses, and others), recognized in the consolidated financial statements of the Group.Excluded from the Group’s related party as of December 31, 2021. The Group has an obligation to early redeem the securitized debentures in the event of situations prescribed by the asset securitization contract, such as when the trusted assets do not meet the eligibility requirements.Excluded from the Group’s related party as of December 31, 2021, therefore, the remaining outstanding balances with those entities are not disclosed.Transfers into or out of Level 3 of the fair value hierarchy occurred due to the change in the availability of observable market data.Granted shares represent the total number of shares initially granted to executives and employees who have residual shares as of December 31, 2021 (Deferred grants are residual shares vested as of December 31, 2021).Executives and employees were given the right of choice about the timing of the deferred payment (after the date of retirement), payment ratio, and payment period. Accordingly, a certain percentage of the granted shares is deferred for up to five years after the date of retirement after the deferred grant has been confirmed.Includes negative VOBA amounting to ₩2,698,010 million and ₩2,390,985 million as of December 31, 2020 and 2021, respectively.Includes exchange differences effect and decrease in liabilities related to investment contracts.In the case of long-term insurance, premium reserve and unearned premium reserve are recognized; the premium reserve is the amount of subtracting deferred acquisition costs and insurance contract loans from the net insurance premium reserve in accordance with Article 6-3 of the Regulations on Supervision of Insurance Business.Includes long-term investment contracts liabilities classified as investment contracts amounting to ₩106,853 million and ₩31,081 million, as of December 31, 2020 and 2021, respectively.Net carrying amount after impairment lossesExcludes the amount of the lapsed insurance reserve.Derivatives held for hedging purposes are the net amount after offsetting liabilities and assets.Transactions between related parties, such as settlements arising from operating activities and deposits, are expressed in net amount.Investments in subsidiaries were accounted at cost method in accordance with IAS No.27.Relative TSR (Total Shareholder Return): [(Fair value at the end of the contract—Fair value at the beginning of the contract) + (Total amount of dividend per share paid during the contract period)] / Fair value at the beginning of the contractPerformance results of company and employeeIncludes reserve for distribution of earnings to policyholders and reserve for loss compensation on participating insurance.Includes the effect of exchange differences and others.Retained earnings restricted for dividend at subsidiaries level pursuant to laws and regulations amounts to ₩ 4,116,579 million as of December 31, 2021.5 million treasury shares are deposited at the Korea 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