WOORI FINANCIAL GROUP INC. WF Financial Statement Data


2025 Q2

Submissions

Field Row 1
adsh 0001193125-25-098257
cik 1264136
name WOORI FINANCIAL GROUP INC.
sic 6029
countryba KR
stprba
cityba SEOUL KOREA
zipba 04632
bas1 51, SOGONG-RO, JUNG-GU,
bas2
baph 000-000-0000
countryma KR
stprma
cityma SEOUL KOREA
zipma 04632
mas1 51, SOGONG-RO, JUNG-GU,
mas2
countryinc KR
stprinc
ein 000000000
former WOORI BANK
changed 20141015
afs 1-LAF
wksi 1
fye 1231
form 20-F
period 20241231
fy 2024
fp FY
filed 20250428
accepted 2025-04-28 06:17:00.0
prevrpt 0
detail 1
instance d921487d20f_htm.xml
nciks 1
aciks

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
cik Central Index Key (CIK). Ten digit number assigned by the SEC to each registrant that submits filings.
name Name of registrant. This corresponds to the name of the legal entity as recorded in EDGAR as of the filing date.
sic Standard Industrial Classification (SIC). Four digit code assigned by the SEC as of the filing date, indicating the registrant’s type of business.
countryba The ISO 3166-1 country of the registrant's business address.
stprba The state or province of the registrant’s business address, if field countryba is US or CA.
cityba The city of the registrant's business address.
zipba The zip code of the registrant’s business address.
bas1 The first line of the street of the registrant’s business address.
bas2 The second line of the street of the registrant’s business address.
baph The phone number of the registrant’s business address.
countryma The ISO 3166-1 country of the registrant's mailing address.
stprma The state or province of the registrant’s mailing address, if field countryma is US or CA.
cityma The city of the registrant's mailing address.
zipma The zip code of the registrant’s mailing address.
mas1 The first line of the street of the registrant’s mailing address.
mas2 The second line of the street of the registrant’s mailing address.
countryinc The ISO 3166-1 country of incorporation for the registrant.
stprinc The state or province of incorporation for the registrant, if countryinc is US or CA.
ein Employee Identification Number, 9 digit identification number assigned by the Internal Revenue Service to business entities operating in the United States.
former Most recent former name of the registrant, if any.
changed Date of change from the former name, if any.
afs Filer status with the SEC at the time of submission:
1-LAF=Large Accelerated, 2-ACC=Accelerated, 3-SRA=Smaller Reporting Accelerated, 4-NON=Non-Accelerated, 5-SML=Smaller Reporting Filer, NULL=not assigned.
wksi Well Known Seasoned Issuer (WKSI). An issuer that meets specific SEC requirements at some point during a 60-day period preceding the date the issuer satisfies its obligation to update its shelf registration statement.
fye Fiscal Year End Date, rounded to nearest month-end.
form The submission type of the registrant’s filing.
period Balance Sheet Date, rounded to nearest month-end.
fy Fiscal Year Focus (as defined in the EDGAR XBRL Guide Ch. 3.1.8).
fp Fiscal Period Focus (as defined in the EDGAR XBRL Guide Ch. 3.1.8) within Fiscal Year.
filed The date of the registrant’s filing with the Commission.
accepted The acceptance date and time of the registrant’s filing with the Commission.
prevrpt Previous Report – TRUE indicates that the submission information was subsequently amended.
detail TRUE indicates that the XBRL submission contains quantitative disclosures within the footnotes and schedules at the required detail level (e.g., each amount).
instance The name of the submitted XBRL Instance Document. The name often begins with the company ticker symbol.
nciks Number of Central Index Keys (CIK) of registrants (i.e., business units) included in the consolidating entity’s submitted filing.
aciks Additional CIKs of co-registrants included in a consolidating entity’s EDGAR submission, separated by spaces. If there are no other co-registrants (i.e., nciks=1), the value of aciks is NULL. For a very small number of filers, the entire list of co-registrants is too long to fit in the field. Where this is the case, users should refer to the complete submission file for all CIK information.

Numbers

adsh ddate tag value uom qtrs version segments coreg footnote
0001193125-25-098257 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax 394492000.0000 USD 4 ifrs/2024
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 75590000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori G Senior Loan Private Placement Investment Trust No.1;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 55000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Real Infrastructure Blind General Type Private Placement Investment Trust;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 105564000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shortterm Bond Securities Investment Trust Bond Classcf;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 34613000000.0000 KRW 0 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 4783000000.0000 KRW 0 ifrs/2024 Segments= Investment Banking;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 10847000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 154000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Marketfarm Co Ltd;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 5204000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= N H Woori Newdeal Co Investment No1 Private Equity Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 160000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Portone Cape Fund No1;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 7685000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Future Growth Private Equity Fund1;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 10493000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big Satisfaction General Private Securities Investment Trust No3 Bond;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 41116000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust Bond No7;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 34007000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 16076000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 3577000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2025;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 1183227000.0000 USD 0 ifrs/2024
0001193125-25-098257 20231231 Investment Property 472768000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20241231 Investment Property -86000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Impairment;
0001193125-25-098257 20221231 Issuance Of Hybrid Securities 1167283000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 1196850000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 1322612000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 809777000.0000 USD 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 512835000.0000 USD 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Issued Capital 2572853000.0000 USD 0 ifrs/2024
0001193125-25-098257 20221231 Liabilities 451446410000000.0000 KRW 0 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20231231 Liabilities 1785024000000.0000 KRW 0 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20231231 Liabilities 90000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Aarden Woori Apparel1st Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Dicustody Co Ltd;
0001193125-25-098257 20231231 Liabilities 9977000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B China Synergy Fund;
0001193125-25-098257 20231231 Liabilities 7000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N H N China Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 1875000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20231231 Liabilities 1588000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= N H Woori Newdeal Growth Alpha Private Equity Fund1;
0001193125-25-098257 20231231 Liabilities 312000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Stassets Fund Iii;
0001193125-25-098257 20231231 Liabilities 175000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20231231 Liabilities 1000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Together Korea Government Private Pool Private Securities Investment Trust No3;
0001193125-25-098257 20231231 Liabilities 62357000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20231231 Liabilities 431313615000000.0000 KRW 0 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20241231 Liabilities 80000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Kclavis Npl Investment Trust No12;
0001193125-25-098257 20241231 Liabilities 2532000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No18;
0001193125-25-098257 20241231 Liabilities 241000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Midas No.8 Private Equity Joint Venture Company;
0001193125-25-098257 20241231 Liabilities 2380000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Paratus Woori Material Component Equipment Joint Venture Company;
0001193125-25-098257 20241231 Liabilities 295000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Future Growth Private Equity Fund1;
0001193125-25-098257 20241231 Liabilities 641000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20241231 Liabilities 62357000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20241231 Liabilities 246365000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No5;
0001193125-25-098257 20241231 Liabilities 419000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20241231 Liabilities 492779272000000.0000 KRW 0 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20241231 Loans And Other Financial Assets At Amortised Cost 17117382000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= Other Countries;
0001193125-25-098257 20241231 Loans And Other Financial Assets At Amortised Cost 7108462000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= U S;
0001193125-25-098257 20231231 Noncontrolling Interests 1730609000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20241231 Noncurrent Assets Or Disposal Groups Classified As Held For Sale 42723000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Others Of Held For Sale;
0001193125-25-098257 20241231 Noncurrent Assets Or Disposal Groups Classified As Held For Sale 50060000.0000 USD 0 ifrs/2024
0001193125-25-098257 20221231 Nonoperatingincomeexpense -405000000.0000 KRW 4 0001193125-25-098257 Segments= Capital Business;
0001193125-25-098257 20221231 Nonoperatingincomeexpense -213000000.0000 KRW 4 0001193125-25-098257 Segments= Operating Segments Others;
0001193125-25-098257 20221231 Nonoperatingincomeexpense 133661000000.0000 KRW 4 0001193125-25-098257 Segments= Reportable Segments;
0001193125-25-098257 20231231 Nonoperatingincomeexpense 8249000000.0000 KRW 4 0001193125-25-098257 Segments= Reportable Segments;
0001193125-25-098257 20241231 Nonoperatingincomeexpense -60321000000.0000 KRW 4 0001193125-25-098257 Segments= Banking1;
0001193125-25-098257 20241231 Nonoperatingincomeexpense 921000000.0000 KRW 4 0001193125-25-098257 Segments= Internal Adjustments;
0001193125-25-098257 20231231 Other Assets 3841787000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No8;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Partner One Value Up I Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust Bond No1;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No8;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Partner One Value Up I Private Equity Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No6;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Real Estate Investment No1 Limited Liability Company;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Usd Treasury Target Return Bond Fof;
0001193125-25-098257 20221231 Other Comprehensive Income Attributable To Noncontrolling Interests 175110000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Cash Flow Hedges -9835000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 45080000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 508631000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income -409000000.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 34058000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -61929000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -61954000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations -114827000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations -77691000.0000 USD 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Other Inflows Outflows Of Cash Classified As Financing Activities -104510000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20241231 Other Inflows Outflows Of Cash Classified As Financing Activities -17690000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Inflows Outflows Of Cash Classified As Investing Activities 973476000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Other Non Operating Income Expense -2371000000.0000 KRW 4 0001193125-25-098257 Segments= Other Adjustments;
0001193125-25-098257 20231231 Other Non Operating Income Expense 91407000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Other Non Operating Income Expense 972000000.0000 KRW 4 0001193125-25-098257 Segments= Operating Segments Others;
0001193125-25-098257 20231231 Other Non Operating Income Expense 84543000000.0000 KRW 4 0001193125-25-098257 Segments= Reportable Segments;
0001193125-25-098257 20241231 Other Non Operating Income Expense 4053000000.0000 KRW 4 0001193125-25-098257 Segments= Credit Card Business;
0001193125-25-098257 20241231 Other Non Operating Income Expense 93104000000.0000 KRW 4 0001193125-25-098257 Segments= Reportable Segments;
0001193125-25-098257 20211231 Other Provisions 308195000000.0000 KRW 0 ifrs/2024 Classes Of Financial Instruments= Miscellaneous Other Provisions;
0001193125-25-098257 20241231 Other Provisions 611428000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20241231 Other Reversals Of Provisions 6784000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Payments For Acquisition Of Financial Assets At Fair Value Through Other Comprehensive Income 16110501000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Payments For Acquisition Of Securities At Amortised Cost 1749777000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20231231 Payments To Acquire Or Redeem Entitys Shares 158165000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Proceeds From Disposal Of Financial Assets At Amortised Cost 5165546000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20241231 Proceeds From Disposal Of Financial Assets At Fair Value Through Other Comprehensive Income 18214691000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20241231 Proceeds From Sale Or Issue Of Treasury Shares 3271000.0000 USD 4 ifrs/2024
0001193125-25-098257 20231231 Proceeds From Sales Of Intangible Assets Classified As Investing Activities 2513000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Profit Loss 0.0000 KRW 4 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20231231 Profit Loss 2626894000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Profit Loss 1424508000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20231231 Profit Loss 0.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Profit Loss 1123332000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20241231 Profit Loss 85474000000.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Profit Loss 0.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Profit Loss 4448865000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20221231 Profit Loss Attributable To Noncontrolling Interests 182302000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Profit Loss Attributable To Noncontrolling Interests 120598000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Profit Loss Before Tax 4547570000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Profit Loss Before Tax -1602908000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Profit Loss From Operating Activities 3783186000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20221231 Profit Loss From Operating Activities 251783000000.0000 KRW 4 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20231231 Profit Loss From Operating Activities -353000000.0000 KRW 4 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20241231 Profit Loss From Operating Activities 1123301000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20241231 Profit Loss From Operating Activities 4069308000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20241231 Profit Loss From Operating Activities -7355000000.0000 KRW 4 ifrs/2024 Segments= Investment Banking;
0001193125-25-098257 20231231 Property Plant And Equipment 3176759000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Purchase Of Interests In Investments Accounted For Using Equity Method 195000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20221231 Purchase Of Interests In Investments Accounted For Using Equity Method 2000000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20231231 Purchase Of Interests In Investments Accounted For Using Equity Method 82000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20231231 Purchase Of Interests In Investments Accounted For Using Equity Method 2850000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No18;
0001193125-25-098257 20241231 Purchase Of Interests In Investments Accounted For Using Equity Method 15000000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Kclavis Npl Investment Trust No12;
0001193125-25-098257 20221231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20221231 Redemption Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20221231 Redemption Of Hybrid Securities -60491000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20221231 Redemption Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Redemption Of Hybrid Securities -1097697000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Redemption Of Hybrid Securities -1695000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities -445514000.0000 USD 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Repayment Of Hybrid Securities 1100000000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Revenue From Dividends 159982000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 0.0000 KRW 0 0001193125-25-098257 Categories Of Financial Assets= Others;
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 111832000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= C N;
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 0.0000 KRW 0 0001193125-25-098257 Geographical Areas= J P;
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 69720000000.0000 KRW 0 0001193125-25-098257 Products And Services= Construction1;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 5997996000000.0000 KRW 0 0001193125-25-098257 Categories Of Financial Assets= Corporates;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 0.0000 KRW 0 0001193125-25-098257 Geographical Areas= J P;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 59866000000.0000 KRW 0 0001193125-25-098257 Products And Services= Construction1;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 169352000000.0000 KRW 0 0001193125-25-098257 Products And Services= Service1;
0001193125-25-098257 20221231 Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20231231 Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method 2996000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method -5367000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method -10000000.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20241231 Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method 0.0000 USD 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20231231 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 -5638000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 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 -1663000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method 1430000000.0000 KRW 4 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20231231 Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method 17182000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20241231 Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method 27933000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20241231 Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method -4000000.0000 KRW 4 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20241231 Adjustments For Decrease Increase In Financial Instruments At Fair Value Through Profit Or Loss In Accordance With I F R S9 1078922000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Decrease Increase In Other Assets -1264071000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Adjustments For Dividend Income 240293000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Dividend Income 209959000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Gain On Disposal Of Investments In Associates And Joint Ventures 19642000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Gain On Disposal Of Investments In Associates And Joint Ventures 13290000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Gain On Fair Value Hedged Items 17232000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Gain On Financial Assets At Fair Value Through Other Comprehensive Income 2338000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Gain On Financial Assets At Fair Value Through Other Comprehensive Income 8694000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Gain On Financial Assets At Fair Value Through Other Comprehensive Income 101231000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Gain On Valuation Of Financial Instruments At Fair Value Through Profit Or Loss In Accordance With I F R S9 571179000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Income Tax Expense 1178496000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Increase Decrease In Other Financial Liabilities 3252247000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Interest Expense 8881600000.0000 USD 4 ifrs/2024
0001193125-25-098257 20231231 Adjustments For Interest Income 20641554000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Adjustments For Loss On Disposal Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 588000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Loss On Disposal Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 532000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Loss On Fair Value Hedged Items 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Loss On Financial Assets Measured At Fair Value Through Other Comprehensive Income 4611000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Loss On Transaction And Change In Fair Value Of Derivatives 250268000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Loss On Valuation Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 13472000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Postemployment Benefit Expense Defined Benefit Plans 165063000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Provisions 37493000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20211231 Assets 1287723000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Capital Contributions Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20211231 Assets 303985000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Equity Securities Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 93970000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Derivative Instrument Assets Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 12581473000000.0000 KRW 0 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20221231 Assets 2019322000000.0000 KRW 0 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20231231 Assets 25786022000000.0000 KRW 0 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20231231 Assets 41533000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= I B K K I P Seongjang Dideemdol1st Private Investment Limited Partnership;
0001193125-25-098257 20231231 Assets 13541000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Japanese Hotel Real Estate Private Equity Fund2;
0001193125-25-098257 20231231 Assets 131164000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Korea Credit Bureau Co Ltd;
0001193125-25-098257 20231231 Assets 34696000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Future Contents Fund;
0001193125-25-098257 20231231 Assets 12391000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N G I Private Equity Fund;
0001193125-25-098257 20231231 Assets 1887000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20231231 Assets 27773000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20231231 Assets 149157000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= S F C R E D I T P A R T N E R S L L C;
0001193125-25-098257 20231231 Assets 36325000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20231231 Assets 16630000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big2 Plus Securities Investment Trust Balanced Bond;
0001193125-25-098257 20231231 Assets 289553000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Smart General Private Equity Investment Trust1 Bond;
0001193125-25-098257 20231231 Assets 4045000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Taerim1st Fund;
0001193125-25-098257 20231231 Assets 11944000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2030;
0001193125-25-098257 20241231 Assets 525753320000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20241231 Assets 1402000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Liability Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Assets 29314529000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K Bank Co Ltd;
0001193125-25-098257 20241231 Assets 75002000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Koreawide Partners2nd Private Equity Fund;
0001193125-25-098257 20241231 Assets 34113000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Orchestra Private Equity Fund Iv;
0001193125-25-098257 20241231 Assets 58285000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Paratus Woori Material Component Equipment Joint Venture Company;
0001193125-25-098257 20241231 Assets 9810000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Partner One Value Up I Private Equity Fund;
0001193125-25-098257 20241231 Assets 40269000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20241231 Assets 64308000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20241231 Assets 4045000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Taerim1st Fund;
0001193125-25-098257 20241231 Assets 6248340000000.0000 KRW 0 ifrs/2024 Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Basic Earnings Loss Per Share 3230.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Bonds Issued 32616443000.0000 USD 0 ifrs/2024
0001193125-25-098257 20241231 Capital Reduction For Noncontrolling Interests 41375000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20211231 Cash And Cash Equivalents 20613073000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 0.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 0.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 0.0000 USD 4 ifrs/2024
0001193125-25-098257 20231231 Cash Flows From Used In Investing Activities -2254141000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Cash Flows From Used In Operating Activities 1180396000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20241231 Cash Flows From Used In Operating Activities -4147022000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Cash Outflow From Changes In Subsidiaries 456445000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20231231 Comprehensive Income 148000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Chirochem;
0001193125-25-098257 20231231 Comprehensive Income -947000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20231231 Comprehensive Income 5823000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= I B K K I P Seongjang Dideemdol1st Private Investment Limited Partnership;
0001193125-25-098257 20231231 Comprehensive Income 7858000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N G I Private Equity Fund;
0001193125-25-098257 20231231 Comprehensive Income -35000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20231231 Comprehensive Income -1145000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Stassets Fund Iii;
0001193125-25-098257 20231231 Comprehensive Income -576000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= W O O R I2022 Startup Venture Fund;
0001193125-25-098257 20231231 Comprehensive Income 1886000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20231231 Comprehensive Income -27768000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20231231 Comprehensive Income 2444000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together O C I O Target Return Feederfund Balance Bond;
0001193125-25-098257 20241231 Comprehensive Income -468000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Bts2nd Private Equity Fund;
0001193125-25-098257 20241231 Comprehensive Income 8000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Chirochem;
0001193125-25-098257 20241231 Comprehensive Income -1377000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K B K T B Technology Venture Fund;
0001193125-25-098257 20241231 Comprehensive Income -197000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K G Fashion Co Ltd;
0001193125-25-098257 20241231 Comprehensive Income 1695000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Korea Finance Security Co Ltd;
0001193125-25-098257 20241231 Comprehensive Income -3062000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B K O R U S F U N D;
0001193125-25-098257 20241231 Comprehensive Income 963000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Midas No.8 Private Equity Joint Venture Company;
0001193125-25-098257 20241231 Comprehensive Income -83000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Nh Woori Dino Co Investment No2 Private Equity Fund;
0001193125-25-098257 20241231 Comprehensive Income -12705000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori2022 Scaleup Venture Fund;
0001193125-25-098257 20241231 Comprehensive Income 57000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20241231 Comprehensive Income -1412000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Real Estate Investment No1 Limited Liability Company;
0001193125-25-098257 20241231 Comprehensive Income 2233000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20241231 Comprehensive Income 2404728000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Current Tax Liabilities 86012000.0000 USD 0 ifrs/2024
0001193125-25-098257 20241231 Deferred Tax Assets 49348000.0000 USD 0 ifrs/2024
0001193125-25-098257 20231231 Deposits From Customers 357784297000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Deposits From Customers 357784297000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Deposits1;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Currency Swap Contract; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Forward; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Futures; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Long1; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Short1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Futures; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Option; Position1= Long1; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Option Contract; Position1= Short1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Products And Services= Service1;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 175191000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Derivative Financial Assets Held For Hedging; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 6886000000.0000 KRW 0 ifrs/2024 Geographical Areas= J P;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 165089000000.0000 KRW 0 ifrs/2024 Hedging Instruments= Currency Swap Contract; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Currency Swap Contract; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Forward; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Futures; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Long1; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Short1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Option Contract; Position1= Short1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Products And Services= Service1;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 153007000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Categories Of Financial Liabilities= Deposits From Customers;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 17232000000.0000 KRW 0 ifrs/2024 Hedging Instruments= Currency Swap Contract; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Futures; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Option; Position1= Long1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Option; Position1= Short1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 135263000000.0000 KRW 0 ifrs/2024 Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Categories Of Financial Liabilities= Deposits From Customers;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Futures; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Option; Position1= Long1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Option; Position1= Short1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 102635000000.0000 KRW 0 ifrs/2024 Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 69564000.0000 USD 0 ifrs/2024
0001193125-25-098257 20221231 Diluted Earnings Loss Per Share 1499.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Dividends Paid On Hybrid Securities 91757000000.0000 KRW 4 0001193125-25-098257 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Dividends Paid Ordinary Shares 654996000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Dividends Paid Ordinary Shares 882159000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Dividends Paid Ordinary Shares 878330000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Dividends Paid Ordinary Shares 2591000.0000 USD 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Dividends Paid To Noncontrolling Interests Classified As Financing Activities 11647000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Dividends Received Classified As Operating Activities 202257000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Dividends To Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20221231 Dividends To Hybrid Securities -113995000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Dividends To Hybrid Securities -226785000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Dividends To Hybrid Securities -131148000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Dividends To Hybrid Securities -234931000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Dividends To Hybrid Securities -158682000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Dividends To Hybrid Securities 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Dividends To Hybrid Securities -107363000.0000 USD 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20221231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents 30860000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20211231 Equity 682385000000.0000 KRW 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20221231 Equity -2423392000000.0000 KRW 0 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20221231 Equity 20661000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Aarden Woori Apparel1st Private Equity Fund;
0001193125-25-098257 20221231 Equity 14374000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Japanese Hotel Real Estate Private Equity Fund2;
0001193125-25-098257 20221231 Equity 65694000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Midas No.8 Private Equity Joint Venture Company;
0001193125-25-098257 20221231 Equity 33423000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20221231 Equity 10169000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20221231 Equity 75555000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20221231 Equity 709000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Star50 Feeder Fund H;
0001193125-25-098257 20231231 Equity 32131000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Igen2022no1 Private Equity Fund;
0001193125-25-098257 20231231 Equity 1893785000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K Bank Co Ltd;
0001193125-25-098257 20231231 Equity 41800000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K B K T B Technology Venture Fund;
0001193125-25-098257 20231231 Equity 8956000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B K O R U S F U N D;
0001193125-25-098257 20231231 Equity 79871000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No7;
0001193125-25-098257 20231231 Equity 29748000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Future Growth Private Equity Fund1;
0001193125-25-098257 20231231 Equity 95743000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20231231 Equity 1170913000.0000 USD 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Equity 35895269000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20241231 Equity 34096836000000.0000 KRW 0 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Equity 366000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Chirochem;
0001193125-25-098257 20241231 Equity 251478000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No18;
0001193125-25-098257 20241231 Equity 29128000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= N H Woori Newdeal Co Investment No1 Private Equity Fund;
0001193125-25-098257 20241231 Equity 143907000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No7 Bond;
0001193125-25-098257 20241231 Equity 24286381000.0000 USD 0 ifrs/2024
0001193125-25-098257 20241231 Equity -947825000.0000 USD 0 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20231231 Equity Attributable To Owners Of Parent 31666881000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Fee And Commission Expense 789530000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Other Comprehensive Income 37891495000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Increase Through Comprehensive Stock Exchange 249008000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Other Comprehensive Income 649220000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Equity Securities Of Financial Assets At Fair Value Through Other Comprehensive Income; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Other Comprehensive Income 548164000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Equity Securities Of Financial Assets At Fair Value Through Other Comprehensive Income; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Other Comprehensive Income 42922671000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Debt Securities Of Financial Assets At Fair Value Through Other Comprehensive Income;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Other Comprehensive Income 28805079000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Debt Securities Of Financial Assets At Fair Value Through Other Comprehensive Income; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Profit Or Loss 42408000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Other Financial Assets In Foreign Currency Of Financial Assets At Fair Value Through Profit Or Loss;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Profit Or Loss 183274000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Others Of Financial Assets At Fair Value Through Profit Or Loss;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Profit Or Loss 25202672000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Profit Or Loss 4563102000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Beneficiary Certificates Of Financial Assets At Fair Value Through Profit Or Loss;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Profit Or Loss 14957857000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Financial Assets At Fair Value Through Profit Or Loss Category; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Liabilities At Fair Value Through Profit Or Loss 5943024000000.0000 KRW 0 ifrs/2024 Categories Of Financial Liabilities= Financial Liabilities At Fair Value Through Profit Or Loss Category; Classes Of Financial Liabilities= Derivative Financial Liabilities Held For Trading;
0001193125-25-098257 20241231 Gain Loss On Designation Of Financial Instrument As Measured At Fair Value Through Profit Or Loss Because Credit Derivative Is Used To Manage Credit Risk 1348000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Gain Loss On Designation Of Financial Instrument As Measured At Fair Value Through Profit Or Loss Because Credit Derivative Is Used To Manage Credit Risk 0.0000 USD 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Gain Loss On Designation Of Financial Instrument As Measured At Fair Value Through Profit Or Loss Because Credit Derivative Is Used To Manage Credit Risk 912000.0000 USD 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Gain Loss On Designation Of Financial Instrument As Measured At Fair Value Through Profit Or Loss Because Credit Derivative Is Used To Manage Credit Risk 0.0000 USD 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Gains Losses Arising From Derecognition Of Financial Assets Measured At Amortised Cost 286885000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Before Tax -21498000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Before Tax 96620000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax 172155000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 General And Administrative Expense 4832202000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20241231 General And Administrative Expense 4468973000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 General And Administrative Expense -179545000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Impairment Losses Recognised Due To Credit Loss 38319000000.0000 KRW 4 0001193125-25-098257 Segments= Operating Segments Others;
0001193125-25-098257 20221231 Income Tax Expense Continuing Operations 976402000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20231231 Income Tax Expense Continuing Operations 0.0000 KRW 4 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20241231 Income Tax Expense Continuing Operations 0.0000 KRW 4 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20241231 Income Tax Expense Continuing Operations -2216000000.0000 KRW 4 ifrs/2024 Segments= Investment Banking;
0001193125-25-098257 20221231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 138478000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 5599000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Increase Decrease Through Change In Equity Of Subsidiaries -1868000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Increase Decrease Through Change In Equity Of Subsidiaries 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease Through Change In Equity Of Subsidiaries 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease Through Change In Equity Of Subsidiaries 8292000.0000 USD 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Increase Decrease Through Transfers And Other Changes Equity -9009000.0000 USD 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Increase Decrease Through Treasury Share Transactions -134401000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Increase Decrease Through Treasury Share Transactions 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20231231 Increase Decrease Through Treasury Share Transactions 0.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Increase Decrease Through Treasury Share Transactions 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease Through Treasury Share Transactions 0.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Increase Decrease Through Treasury Share Transactions 0.0000 USD 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Increase Through Comprehensive Stock Exchange 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20211231 Intangible Assets And Goodwill 37607000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Membership Deposit;
0001193125-25-098257 20231231 Intangible Assets And Goodwill -1721058000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation;
0001193125-25-098257 20231231 Intangible Assets And Goodwill -36559000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Impairment;
0001193125-25-098257 20231231 Intangible Assets And Goodwill 859678000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets And Goodwill= Intangible Assets Under Development;
0001193125-25-098257 20241231 Intangible Assets And Goodwill 2419000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets And Goodwill= Copyrights Patents And Other Industrial Property Rights Service And Operating Rights;
0001193125-25-098257 20241231 Intangible Assets And Goodwill 6598000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Construction In Progress;
0001193125-25-098257 20241231 Interest Expense 8881600000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Interest Revenue Expense -2155000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Interest Revenue Expense 675250000000.0000 KRW 4 ifrs/2024 Segments= Credit Card Business;
0001193125-25-098257 20221231 Interest Revenue Expense 817543000000.0000 KRW 4 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20221231 Interest Revenue Expense 117867000000.0000 KRW 4 ifrs/2024 Segments= Investment Banking;
0001193125-25-098257 20231231 Interest Revenue Expense 79401000000.0000 KRW 4 ifrs/2024 Segments= Other Adjustments; Other segments includes the funds subject to Groups consolidation not included in the reporting segment.
0001193125-25-098257 20231231 Interest Revenue Expense 7742125000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 763000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 46155000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 878000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Deepdive Woori20211 Financial Investment Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 878000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Deepdive Woori20221 Financial Investment Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 7861000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Dream Company Growth No1 P E F;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Force Tec;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 11216000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= J C Assurance No2 Private Equity Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 10000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Jinmyungplus Co.ltd.;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 247789000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K Bank Co Ltd;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 20000000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Koreawide Partners2nd Private Equity Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 12984000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 7793000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 9474000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Twenty Sixteen K I F I M M Woori Bank Technology Venture Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 81861000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woorig Senior Loan General Type Private Investment Trust No1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 8690000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Zip1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Segments= Credit Card Business;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 102000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Chirochem;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 7809000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Dream Company Growth No1 P E F;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 7600000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K B K T B Technology Venture Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 16059000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B China Platform Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 283000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 7069000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Future Growth Private Equity Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 7611000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 10540000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Together Korea Government Private Pool Private Securities Investment Trust No3;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 22071000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Asset Global Partnership Fund No5;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 51205000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust Bond No3;
0001193125-25-098257 20241231 Liabilities 1362000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20241231 Additions Of Expenses Not Involving Cash Outflows 2956059000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustment For Miscellaneous Other Operating Expense 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustment For Miscellaneous Other Operating Expense 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Depreciation And Amortisation Expense 787415000.0000 USD 4 ifrs/2024
0001193125-25-098257 20231231 Adjustments For Gain On Disposal Of Investments In Associates And Joint Ventures 33123000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Gain On Fair Value Hedged Items 8986000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Gain On Investment Of Associates And Joint Ventures Accounted For Using Equity Method 98858000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Gain On Transaction And Change In Fair Value Of Derivatives 71179000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Impairment Losses Of Property Plant And Equipment And Other Assets 129000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Income Tax Expense 890559000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Increase Decrease In Deposits From Customers 3411535000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Increase Decrease In Employee Benefit Liabilities -81720000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Adjustments For Interest Expense 5957970000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Adjustments For Interest Expense 11899014000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Adjustments For Loss On Disposal Of Premises And Equipment And Other Assets 3177000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Loss On Fair Value Hedged Items 64571000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Loss On Transaction And Change In Fair Value Of Derivatives 35583000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Loss On Valuation Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 28861000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Postemployment Benefit Expense Defined Benefit Plans 113435000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Reconcile Profit Loss -8092274000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20211231 Assets 0.0000 KRW 0 ifrs/2024 Classes Of Assets= Other Foreign Currency Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 557065000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Equity Securities Of Financial Assets At Fair Value Through Other Comprehensive Income; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 104505000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Loans Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Assets 1705965000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Beneficiary Certificates Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Assets 548164000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Assets At Fair Value Through Other Comprehensive Income Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Assets 1994000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Liabilities At Fair Value Through Profit Or Loss Derivative Liabilities; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Assets 15754000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20231231 Assets 38064000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20231231 Assets 2248000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Rea Company;
0001193125-25-098257 20231231 Assets 12068000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20231231 Assets 349154000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori G Senior Loan Private Placement Investment Trust No.1;
0001193125-25-098257 20231231 Assets 50362000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20231231 Assets 458017067000000.0000 KRW 0 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20231231 Assets 2846897000000.0000 KRW 0 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20231231 Assets 524026236000000.0000 KRW 0 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20241231 Assets 7357000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Debt Securities Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Assets 559434000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Equity Securities Of Financial Assets At Fair Value Through Other Comprehensive Income; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Assets 5687504000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Assets At Fair Value Through Profit Or Loss Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Assets 39431000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Bts2nd Private Equity Fund;
0001193125-25-098257 20241231 Assets 15745000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20241231 Assets 43057000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Kclavis Npl Investment Trust No12;
0001193125-25-098257 20241231 Assets 150657000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Korea Credit Bureau Co Ltd;
0001193125-25-098257 20241231 Assets 18343000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Digital Contents Korea Fund No9;
0001193125-25-098257 20241231 Assets 24416416000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Lotte Card Co Ltd;
0001193125-25-098257 20241231 Assets 7025000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Orient Shipyard Co Ltd;
0001193125-25-098257 20241231 Assets 10849000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Samsung Together Korea I P P F Private Securities Investment Trust3 Equity Fo Fs;
0001193125-25-098257 20241231 Assets 89006000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori2022 Scaleup Venture Fund;
0001193125-25-098257 20241231 Assets 14575000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20241231 Assets 67081000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20241231 Assets 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Future Energy Private Special Asset Investment Trust General No1;
0001193125-25-098257 20241231 Assets 456448000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No5;
0001193125-25-098257 20241231 Assets 80919000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori G Senior Loan Private Placement Investment Trust No.1;
0001193125-25-098257 20241231 Assets 84775000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20241231 Assets 244268000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Smart General Private Equity Investment Trust No1 Bond;
0001193125-25-098257 20241231 Assets 16849000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2030;
0001193125-25-098257 20241231 Assets 3565728000000.0000 KRW 0 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20221231 Basic Earnings Loss Per Share 4251.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Cash Flows From Used In Financing Activities -2860177000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Cash Flows From Used In Investing Activities -34299000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Cash Inflows And Outflow From Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 378394000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Cash Inflows And Outflow From Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 209643000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Cash Inflows And Outflow From Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities -2008000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Cash In Flows From Hedging Activities 54569000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Cash In Flows From Hedging Activities 23394000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Cash Outflow From Changes In Subsidiaries 346386000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Comprehensive Income 1160937000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20231231 Comprehensive Income 451000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Darwin Green Packaging Private Equity Fund;
0001193125-25-098257 20231231 Comprehensive Income 9467000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Deepdive Woori20211 Financial Investment Fund;
0001193125-25-098257 20231231 Comprehensive Income -569000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K G Fashion Co Ltd;
0001193125-25-098257 20231231 Comprehensive Income 11133000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20231231 Comprehensive Income -6350000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20231231 Comprehensive Income 222000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Together Korea Government Private Pool Private Securities Investment Trust No3;
0001193125-25-098257 20231231 Comprehensive Income 4342000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust Bond No3;
0001193125-25-098257 20231231 Comprehensive Income 1069000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Service Networks Co Ltd;
0001193125-25-098257 20231231 Comprehensive Income -198000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Zip1;
0001193125-25-098257 20241231 Comprehensive Income 3554188000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Comprehensive Income 26589000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Korea Credit Bureau Co Ltd;
0001193125-25-098257 20241231 Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Koreawide Partners2nd Private Equity Fund;
0001193125-25-098257 20241231 Comprehensive Income 14540000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20241231 Comprehensive Income -4767000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20241231 Comprehensive Income 703000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20241231 Comprehensive Income -646000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20241231 Comprehensive Income 2545000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20241231 Comprehensive Income 164000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20241231 Deductions Of Income Not Involving Cash Inflows 1185165000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20231231 Deferred Tax Assets 93366000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 26708000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Geographical Areas= G B;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 698000000.0000 KRW 0 ifrs/2024 Geographical Areas= J P;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Forward; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Long1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Assets Held For Hedging 26708000000.0000 KRW 0 ifrs/2024 Products And Services= Financial Institutions;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Geographical Areas= G B;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Forward; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Long1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Assets Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Foreign Exchange Future1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 153007000000.0000 KRW 0 ifrs/2024 Categories Of Financial Liabilities= Derivatives;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Short1; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20231231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Option Contract; Position1= Long1; Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Equity Index Option; Position1= Short1; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 0.0000 KRW 0 ifrs/2024 Hedging Instruments= Interest Rate Forwards; Types Of Hedges= Fair Value Hedges;
0001193125-25-098257 20241231 Derivative Financial Liabilities Held For Hedging 180000000.0000 KRW 0 ifrs/2024 Types Of Hedges= Cash Flow Hedges;
0001193125-25-098257 20231231 Diluted Earnings Loss Per Share 1754.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Dividends Paid On Hybrid Securities 205751000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Dividends Paid On Hybrid Securities 131149000000.0000 KRW 4 0001193125-25-098257 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Dividends Paid Ordinary Shares 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20231231 Dividends Paid Ordinary Shares 990023000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Dividends Paid Ordinary Shares 0.0000 KRW 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Dividends Paid Ordinary Shares 3829000000.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Dividends Paid Ordinary Shares 594269000.0000 USD 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Dividends Paid To Equity Holders Of Parent Classified As Financing Activities 594269000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Dividends Paid To Noncontrolling Interests Classified As Financing Activities 9949000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Dividends Received Classified As Operating Activities 310341000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Dividends To Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Dividends To Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Dividends To Hybrid Securities -95637000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20231231 Dividends To Hybrid Securities -131148000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20241231 Dividends To Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents 1111476000.0000 USD 4 ifrs/2024
0001193125-25-098257 20211231 Equity -2167614000000.0000 KRW 0 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20211231 Equity 21347472000000.0000 KRW 0 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20211231 Equity -3819000000.0000 KRW 0 ifrs/2024 Components Of Equity= Treasury Shares;
0001193125-25-098257 20221231 Equity -14315000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Force Tec;
0001193125-25-098257 20221231 Equity 47000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Jinmyungplus Co.ltd.;
0001193125-25-098257 20221231 Equity -16393000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Orient Shipyard Co Ltd;
0001193125-25-098257 20221231 Equity 4347000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Stassets Fund Iii;
0001193125-25-098257 20221231 Equity 37017000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20221231 Equity 957000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Bank Company K Korea Movie Asset Fund;
0001193125-25-098257 20231231 Equity 31666881000000.0000 KRW 0 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Equity 15654000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20231231 Equity 10381000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Deepdive Woori20221 Financial Investment Fund;
0001193125-25-098257 20231231 Equity 21898000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Korea Finance Security Co Ltd;
0001193125-25-098257 20231231 Equity 1887000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20231231 Equity 72206000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No13;
0001193125-25-098257 20231231 Equity 180975000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20231231 Equity 64821000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Midas No.8 Private Equity Joint Venture Company;
0001193125-25-098257 20231231 Equity 4667000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Firstvalue Private Real Estate Fund No.2;
0001193125-25-098257 20231231 Equity 50837000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together O C I O Target Return Feederfund Balance Bond;
0001193125-25-098257 20231231 Equity 632993000.0000 USD 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Equity 2572853000.0000 USD 0 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20231231 Equity -1129200000.0000 USD 0 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Equity 65220000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= H M S Oriens1st Fund;
0001193125-25-098257 20241231 Equity 32089000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Igen2022no1 Private Equity Fund;
0001193125-25-098257 20241231 Equity 16687000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Digital Contents Korea Fund No9;
0001193125-25-098257 20241231 Equity 39628000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20241231 Equity 115424000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big Satisfaction General Private Securities Investment Trust No3;
0001193125-25-098257 20241231 Equity 147315000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No6;
0001193125-25-098257 20241231 Equity 64305000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20241231 Equity 2572853000.0000 USD 0 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Equity Attributable To Owners Of Parent 34096836000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Fee And Commission Income 2499700000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Fee And Commission Income 1944666000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Fee And Commission Income Expense 1710170000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Other Comprehensive Income 0.0000 KRW 0 ifrs/2024 Categories Of Financial Assets= Other Financial Assets;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Other Comprehensive Income 559434000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Financial Assets At Fair Value Through Other Comprehensive Income Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Profit Or Loss 0.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Capital Contributions Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Profit Or Loss 0.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Capital Contributions Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Profit Or Loss 782716000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Loans Of Financial Assets At Fair Value Through Profit Or Loss;
0001193125-25-098257 20231231 Financial Assets At Fair Value Through Profit Or Loss 14880479000000.0000 KRW 0 ifrs/2024 Categories Of Financial Assets= Securities;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Profit Or Loss 398899000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Equity Securities Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Profit Or Loss 34776000000.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Loans Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20241231 Financial Assets At Fair Value Through Profit Or Loss 0.0000 KRW 0 ifrs/2024 Balance Sheet Location1= Others Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Financial Liabilities At Fair Value Through Profit Or Loss 155765000000.0000 KRW 0 ifrs/2024 Categories Of Financial Liabilities= Financial Liabilities At Fair Value Through Profit Or Loss Category; Classes Of Financial Liabilities= Securities Sold;
0001193125-25-098257 20241231 Financial Liabilities At Fair Value Through Profit Or Loss 9348781000000.0000 KRW 0 ifrs/2024 Categories Of Financial Liabilities= Financial Liabilities At Fair Value Through Profit Or Loss Category;
0001193125-25-098257 20241231 Gains Losses On Financial Instruments At Fair Value Through Profit Or Loss 1010002000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20221231 General And Administrative Expense 4529890000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 General And Administrative Expense 96469000000.0000 KRW 4 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20241231 General And Administrative Expense 103870000000.0000 KRW 4 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20241231 General And Administrative Expense 1104000000.0000 KRW 4 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20221231 Impairment Losses Recognised Due To Credit Loss 107906000000.0000 KRW 4 0001193125-25-098257 Segments= Capital Business;
0001193125-25-098257 20221231 Impairment Losses Recognised Due To Credit Loss 57992000000.0000 KRW 4 0001193125-25-098257 Segments= Internal Adjustments;
0001193125-25-098257 20221231 Impairment Losses Recognised Due To Credit Loss 0.0000 KRW 4 0001193125-25-098257 Segments= Other Adjustments;
0001193125-25-098257 20231231 Impairment Losses Recognised Due To Credit Loss 894827000000.0000 KRW 4 0001193125-25-098257 Segments= Banking1;
0001193125-25-098257 20231231 Impairment Losses Recognised Due To Credit Loss 188682000000.0000 KRW 4 0001193125-25-098257 Segments= Capital Business;
0001193125-25-098257 20231231 Impairment Losses Recognised Due To Credit Loss 0.0000 KRW 4 0001193125-25-098257 Segments= Other Adjustments;
0001193125-25-098257 20241231 Income Taxes Paid Refund Classified As Operating Activities 424770000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Income Tax Expense Continuing Operations -1015000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Income Tax Expense Continuing Operations 1174831000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20231231 Income Tax Expense Continuing Operations 901658000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20221231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20231231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease In Noncontrolling Interest Due To Business Combinations 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20221231 Increase Decrease Through Change In Equity Of Subsidiaries 27365000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20231231 Increase Decrease Through Change In Equity Of Subsidiaries 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Increase Decrease Through Change In Equity Of Subsidiaries 855000.0000 USD 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease Through Transfers And Other Changes Equity -60372000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Increase Decrease Through Transfers And Other Changes Equity -47056000000.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Increase Decrease Through Transfers And Other Changes Equity -40847000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Increase Decrease Through Transfers And Other Changes Equity -9001000.0000 USD 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Increase Decrease Through Treasury Share Transactions 1128000000.0000 KRW 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Increase Decrease Through Treasury Share Transactions 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20231231 Increase Decrease Through Treasury Share Transactions -35529000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Increase Decrease Through Treasury Share Transactions 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Increase Decrease Through Treasury Share Transactions 496000.0000 USD 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20231231 Increase Through Comprehensive Stock Exchange 162373000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20211231 Intangible Assets And Goodwill 717000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Construction In Progress;
0001193125-25-098257 20211231 Intangible Assets And Goodwill 723000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Copyrights Patents And Other Industrial Property Rights Service And Operating Rights;
0001193125-25-098257 20211231 Intangible Assets And Goodwill 207708000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Intangible Assets Under Development;
0001193125-25-098257 20221231 Intangible Assets And Goodwill 643000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Copyrights Patents And Other Industrial Property Rights Service And Operating Rights;
0001193125-25-098257 20231231 Intangible Assets And Goodwill -1783000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation; Classes Of Intangible Assets And Goodwill= Copyrights Patents And Other Industrial Property Rights Service And Operating Rights;
0001193125-25-098257 20231231 Intangible Assets And Goodwill 0.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Impairment; Classes Of Intangible Assets And Goodwill= Goodwill;
0001193125-25-098257 20231231 Intangible Assets And Goodwill -33553000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Impairment; Classes Of Intangible Assets And Goodwill= Other Intangible Assets;
0001193125-25-098257 20231231 Intangible Assets And Goodwill 2754459000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001193125-25-098257 20231231 Intangible Assets And Goodwill 445093000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets And Goodwill= Goodwill;
0001193125-25-098257 20231231 Intangible Assets And Goodwill 509000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Copyrights Patents And Other Industrial Property Rights Service And Operating Rights;
0001193125-25-098257 20231231 Intangible Assets And Goodwill 445093000000.0000 KRW 0 ifrs/2024 Classes Of Intangible Assets And Goodwill= Goodwill;
0001193125-25-098257 20241231 Intangible Assets And Goodwill -1895592000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation;
0001193125-25-098257 20241231 Intangible Assets And Goodwill 0.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation; Classes Of Intangible Assets And Goodwill= Membership Deposit;
0001193125-25-098257 20241231 Intangible Assets And Goodwill 0.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Impairment; Classes Of Intangible Assets And Goodwill= Goodwill;
0001193125-25-098257 20241231 Intangible Assets And Goodwill 965131000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets And Goodwill= Intangible Assets Under Development;
0001193125-25-098257 20231231 Interest Expense 11899014000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Interest Expense 13127005000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Interest Income On Financial Assets Measured At Fair Value Through Profit Or Loss 160212000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20231231 Interest Received Classified As Operating Activities 20416107000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Interest Revenue Expense 34307000000.0000 KRW 4 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20231231 Interest Revenue Expense 8742540000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Interest Revenue Expense 542000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20241231 Interest Revenue Expense 126600000000.0000 KRW 4 ifrs/2024 Segments= Other Adjustments;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 489000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Portone Cape Fund No1;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 10023000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Multireturn Securities Investment Trust3 Balanced Bond;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 28713000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 18713000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Midas No.8 Private Equity Joint Venture Company;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 239000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Bank Company K Korea Movie Asset Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 43274000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 22427853000000.0000 KRW 0 ifrs/2024 Segments= Operating Segments Others;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 4437000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 1236000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Deepdive Woori20211 Financial Investment Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 1236000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Deepdive Woori20221 Financial Investment Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 1000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Dicustody Co Ltd;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 88000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Joongang Network Solution Co.ltd.;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 5597000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Digital Contents Korea Fund No9;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K U M H W A Co Ltd;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 16979000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Paratus Woori Material Component Equipment Joint Venture Company;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 105000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Win Mortgage Co L Td;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 13578000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori2023 Scaleup Venture Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 12590000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No5;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 3324000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2030;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 1029697000000.0000 KRW 0 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method -23182434000000.0000 KRW 0 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 23882409000000.0000 KRW 0 ifrs/2024 Segments= Operating Segments Others;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 24951502000000.0000 KRW 0 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 5264000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Australia Green Energy1st Pef;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 15659000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No13;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K U M H W A Co Ltd;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 7499000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Green No.1 Pef;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 11770000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 54977000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Asset Global Partnership Fund No5;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 60024000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No5;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 60024000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No5 Bond;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 4011000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Oncorp Corporate Support Of Major Industry General Type Private Investment Trust2;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 32207000000.0000 KRW 0 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20221231 Issuance Of Hybrid Securities 818068000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20221231 Liabilities -2650118000000.0000 KRW 0 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Liabilities 0.0000 KRW 0 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20231231 Liabilities 24000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Australia Green Energy1st Pef;
0001193125-25-098257 20231231 Liabilities 375000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Chirochem;
0001193125-25-098257 20231231 Liabilities 100000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 314000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 124000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Igen2022no1 Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 1599000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Digital Contents Korea Fund No9;
0001193125-25-098257 20231231 Liabilities 45000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N G I Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No7;
0001193125-25-098257 20231231 Liabilities 668000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= P C C Woori L P Secondary Fund;
0001193125-25-098257 20231231 Liabilities 3736000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Rea Company;
0001193125-25-098257 20231231 Liabilities 233000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20231231 Liabilities 826000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori2022 Scaleup Venture Fund;
0001193125-25-098257 20231231 Liabilities 281000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Asset Global Partnership Fund No5;
0001193125-25-098257 20231231 Liabilities 111165000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust Bond No2;
0001193125-25-098257 20231231 Liabilities 126879000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shortterm Bond Securities Investment Trust Bond Classcf;
0001193125-25-098257 20231231 Liabilities 3212000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Short Term Governmentand Special Bank Bond Active E T F;
0001193125-25-098257 20231231 Liabilities 183000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Taerim1st Fund;
0001193125-25-098257 20231231 Liabilities 1000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together O C I O Target Return Feederfund Balance Bond;
0001193125-25-098257 20231231 Liabilities 31702000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Zip1;
0001193125-25-098257 20231231 Liabilities 4424086000000.0000 KRW 0 ifrs/2024 Segments= Operating Segments Others;
0001193125-25-098257 20241231 Liabilities 453000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= A R A M C M C Co Ltd;
0001193125-25-098257 20241231 Liabilities 27293765000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K Bank Co Ltd;
0001193125-25-098257 20241231 Liabilities 2870000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Koreawide Partners2nd Private Equity Fund;
0001193125-25-098257 20241231 Liabilities 1592000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20241231 Liabilities 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No8;
0001193125-25-098257 20241231 Liabilities 23626000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Orient Shipyard Co Ltd;
0001193125-25-098257 20241231 Liabilities 29000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big Satisfaction Corporation M M F No3;
0001193125-25-098257 20241231 Liabilities 251145000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No6;
0001193125-25-098257 20241231 Liabilities 5000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori G Senior Loan Private Placement Investment Trust No.1;
0001193125-25-098257 20241231 Liabilities 3000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20241231 Liabilities 2475000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Service Networks Co Ltd;
0001193125-25-098257 20231231 Loans And Other Financial Assets At Amortised Cost 5068801000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= C N;
0001193125-25-098257 20231231 Loans And Other Financial Assets At Amortised Cost 185083452000000.0000 KRW 0 0001193125-25-098257 Products And Services= Individuals;
0001193125-25-098257 20241231 Loans And Other Financial Assets At Amortised Cost 398471816000000.0000 KRW 0 0001193125-25-098257
0001193125-25-098257 20241231 Loans And Other Financial Assets At Amortised Cost 194662526000000.0000 KRW 0 0001193125-25-098257 Classes Of Financial Assets= Loans And Other Financial Assets At Amortised Cost To Consumer;
0001193125-25-098257 20241231 Loans And Other Financial Assets At Amortised Cost 367026768000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= K R;
0001193125-25-098257 20221231 Net Cash Received From Operating Activities 8352935000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Nonoperatingincomeexpense 141717000000.0000 KRW 4 0001193125-25-098257 Segments= Banking1;
0001193125-25-098257 20221231 Nonoperatingincomeexpense 2189000000.0000 KRW 4 0001193125-25-098257 Segments= Other Adjustments;
0001193125-25-098257 20231231 Nonoperatingincomeexpense -754000000.0000 KRW 4 0001193125-25-098257 Segments= Investment Banking;
0001193125-25-098257 20241231 Nonoperatingincomeexpense 15756000000.0000 KRW 4 0001193125-25-098257 Segments= Operating Segments Others;
0001193125-25-098257 20231231 Other Assets 3306464000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Rightofuse Assets;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= A R A M C M C Co Ltd;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Australia Green Energy1st Pef;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Bts2nd Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Darwin Green Packaging Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Dicustody Co Ltd;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= J C Assurance No2 Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B China Synergy Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B K O R U S F U N D;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Digital Contents Korea Fund No9;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No13;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No18;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= N A V E R K T B Audio Contents Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Orient Shipyard Co Ltd;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= A R A M C M C Co Ltd;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Australia Green Energy1st Pef;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Igen2022no1 Private Equity Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Koreawide Partners2nd Private Equity Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B China Synergy Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Digital Contents Korea Fund No9;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No18;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= N A V E R K T B Audio Contents Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Taerim1st Fund;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2025;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Cash Flow Hedges -9835000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 0.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 4459000.0000 USD 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -7043000000.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 39579000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 39780000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 9617000.0000 USD 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 725513000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income -145000000.0000 KRW 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 23043000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 23141000.0000 USD 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 193191000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 USD 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations -20701000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations -14049000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations -14049000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 USD 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations 0.0000 USD 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax 122334000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Equity Interest -1400885000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Other Inflows Outflows Of Cash Classified As Financing Activities 513000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Other Inflows Outflows Of Cash Classified As Financing Activities -139688000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20231231 Other Nonfinancial Liabilities 803897000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Other Non Operating Income Expense 12565000000.0000 KRW 4 0001193125-25-098257 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Other Non Operating Income Expense 1399000000.0000 KRW 4 0001193125-25-098257 Segments= Investment Banking;
0001193125-25-098257 20221231 Other Non Operating Income Expense 2386000000.0000 KRW 4 0001193125-25-098257 Segments= Operating Segments Others;
0001193125-25-098257 20231231 Other Non Operating Income Expense 2106000000.0000 KRW 4 0001193125-25-098257 Segments= Capital Business;
0001193125-25-098257 20231231 Other Non Operating Income Expense 10370000000.0000 KRW 4 0001193125-25-098257 Segments= Consolidated Adjustments;
0001193125-25-098257 20241231 Other Non Operating Income Expense 24960000000.0000 KRW 4 0001193125-25-098257 Segments= Consolidated Adjustments;
0001193125-25-098257 20241231 Other Non Operating Income Expense 73484000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20231231 Other Provisions 494814000000.0000 KRW 0 ifrs/2024 Classes Of Financial Instruments= Miscellaneous Other Provisions;
0001193125-25-098257 20241231 Other Provisions 304624000000.0000 KRW 0 ifrs/2024 Classes Of Financial Instruments= Miscellaneous Other Provisions;
0001193125-25-098257 20231231 Payments For Acquisition Of Securities At Amortised Cost 4244256000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Payments Of Lease Liabilities Classified As Financing Activities 160673000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Proceeds And Repayments From Borrowings Classified As Financing Activities 2881675000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Proceeds From Disposal Of Financial Assets At Fair Value Through Other Comprehensive Income 26921313000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Proceeds From Disposal Of Financial Assets At Fair Value Through Profit Or Loss 9502271000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Profit Loss 1183249000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20221231 Profit Loss 2948501000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20221231 Profit Loss 183328000000.0000 KRW 4 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20231231 Profit Loss 112064000000.0000 KRW 4 ifrs/2024 Segments= Credit Card Business;
0001193125-25-098257 20231231 Profit Loss 1421032000000.0000 KRW 4 ifrs/2024 Segments= Operating Segments Others;
0001193125-25-098257 20241231 Profit Loss 3171469000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Profit Loss 3046936000000.0000 KRW 4 ifrs/2024 Segments= Banking1; The banking sector includes banks and their consolidated subsidiaries (such as overseas subsidiaries).
0001193125-25-098257 20221231 Profit Loss Before Tax 251378000000.0000 KRW 4 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20221231 Profit Loss Before Tax -1374463000000.0000 KRW 4 ifrs/2024 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Profit Loss Before Tax 278633000000.0000 KRW 4 ifrs/2024 Segments= Credit Card Business;
0001193125-25-098257 20231231 Profit Loss Before Tax 3517453000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Profit Loss Before Tax 5024298000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20241231 Profit Loss Before Tax 4008987000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20241231 Purchase Of Interests In Investments Accounted For Using Equity Method 10000000000.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big Satisfaction General Private Securities Investment Trust No3 Bond;
0001193125-25-098257 20221231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20221231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income -10254000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income -86000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20231231 Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 86000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20221231 Redemption Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20221231 Redemption Of Hybrid Securities -60491000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20221231 Redemption Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities -52199000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Redemption Of Hybrid Securities 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Revenue From Dividends 209959000.0000 USD 4 ifrs/2024
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 23996172000000.0000 KRW 0 0001193125-25-098257
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 8143585000000.0000 KRW 0 0001193125-25-098257 Categories Of Financial Assets= Korea Treasury And Government;
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 23996172000000.0000 KRW 0 0001193125-25-098257 Classes Of Financial Assets= Securities Of Financial Assets At Amortised Cost Category;
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 0.0000 KRW 0 0001193125-25-098257 Geographical Areas= G B;
0001193125-25-098257 20231231 Securities Of Financial Assets At Amortised Cost 1049669000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= U S;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 10000000000.0000 KRW 0 0001193125-25-098257 Categories Of Financial Assets= Others;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 0.0000 KRW 0 0001193125-25-098257 Geographical Areas= G B;
0001193125-25-098257 20241231 Securities Of Financial Assets At Amortised Cost 18052871000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= K R;
0001193125-25-098257 20241231 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 -2506000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 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 -4527000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method 2173000000.0000 KRW 4 ifrs/2024 Segments= Operating Segments Others;
0001193125-25-098257 20221231 Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method 77895000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20241231 Interest Income For Financial Assets Measured At Amortised Cost 13866648000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Interest Paid Classified As Operating Activities 4965594000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Interest Received Classified As Operating Activities 22304745000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Interest Revenue Expense 6603834000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20231231 Interest Revenue Expense 115089000000.0000 KRW 4 ifrs/2024 Segments= Operating Segments Others; Other segments include gains and losses from Woori Financial Group Inc., Woori Asset Trust Co., Ltd., Woori Savings Bank, Woori Asset Management Corp., Woori Financial F&I Co., Ltd., Woori Credit Information Co., Ltd., Woori Fund Service Co., Ltd., Woori Private Equity Asset Management Co., Ltd., Woori Global Asset Management Co., Ltd., Woori FIS Co., Ltd., Woori Finance Research Institute and Woori Venture Partners Co., Ltd.
0001193125-25-098257 20241231 Interest Revenue Expense 8886336000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Interest Revenue Expense 6542449000000.0000 KRW 4 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20241231 Interest Revenue Expense 7716633000000.0000 KRW 4 ifrs/2024 Segments= Reportable Segments;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 3957000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Darwin Green Packaging Private Equity Fund;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 11120000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Genesis Eco No.1 Private Equity Fund;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 9905000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Godo Kaisha Oceanos1;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 973000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Kiwoom Woori Financial1st Investment Fund;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 3101000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Korea Finance Security Co Ltd;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 12388000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Union Technology Finance Investment Association;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 88029000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori G Senior Loan Private Placement Investment Trust No.1;
0001193125-25-098257 20211231 Investment Accounted For Using Equity Method 183000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Service Networks Co Ltd;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 8788000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Godo Kaisha Oceanos1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Orient Shipyard Co Ltd;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 464000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Portone Cape Fund No1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 1230000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Stassets Fund Iii;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 10243000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Together Korea Government Private Pool Private Securities Investment Trust No3;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 10889000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Growth Partnerships New Technology Private Equity Fund;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 9874000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No1;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 9874000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Seoul Beltway Private Special Asset Fund No5;
0001193125-25-098257 20221231 Investment Accounted For Using Equity Method 208000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Service Networks Co Ltd;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 1795370000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 3957000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Darwin Green Packaging Private Equity Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 14030000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= H M S Oriens1st Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 7983000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Igen2022no1 Private Equity Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 2688000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Japanese Hotel Real Estate Private Equity Fund2;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 14000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Jinmyungplus Co.ltd.;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 20405000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B China Synergy Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 4561000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Future Contents Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 3000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N H N China Private Equity Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 18561000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 2511000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No8;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 7069000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Synaptic Future Growth Private Equity Fund1;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 560000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 20283000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 10330000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Safe Plus General Type Private Investment Trust S8 Bond;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 33481000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Shinyoung Growth Cap Private Equity Fund1;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 988000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Taerim1st Fund;
0001193125-25-098257 20231231 Investment Accounted For Using Equity Method 10376000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together O C I O Target Return Feederfund Balance Bond;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 104000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Chirochem;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 4532000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Crevisse Raim Impact1st Startup Venture Specialist Private Equity Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 14880000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= H M S Oriens1st Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 9000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Jinmyungplus Co.ltd.;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 19235000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Koreawide Partners2nd Private Equity Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 18949000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B China Synergy Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 5000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N G I Private Equity Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 1529000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No8;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 248000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= N A V E R K T B Audio Contents Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 55539000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= N H Woori Newdeal Growth Alpha Private Equity Fund1;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 135000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Win Mortgage Co L Td;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 12773000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= W O O R I2022 Startup Venture Fund;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 10493000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big Satisfaction General Private Securities Investment Trust No3;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 41984000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Big Satisfaction Shinjong Mmf3rd;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 567000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Firstvalue Private Real Estate Fund No.2;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Future Energy Private Special Asset Investment Trust General No1;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 40477000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Smart General Private Equity Investment Trust No1 Bond;
0001193125-25-098257 20241231 Investment Accounted For Using Equity Method 0.0000 KRW 0 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20231231 Investment Property -38136000000.0000 KRW 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation;
0001193125-25-098257 20221231 Issuance Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20221231 Issuance Of Hybrid Securities 0.0000 KRW 4 0001193125-25-098257 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Issuance Of Hybrid Securities 498680000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20231231 Issuance Of Hybrid Securities 299327000000.0000 KRW 4 0001193125-25-098257 Components Of Equity= Noncontrolling Interests;
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 809777000.0000 USD 4 0001193125-25-098257 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Issuance Of Hybrid Securities 0.0000 USD 4 0001193125-25-098257 Components Of Equity= Issued Capital;
0001193125-25-098257 20221231 Liabilities 4146997000000.0000 KRW 0 ifrs/2024 Segments= Operating Segments Others;
0001193125-25-098257 20231231 Liabilities 837000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Bts2nd Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 255000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Dream Company Growth No1 P E F;
0001193125-25-098257 20231231 Liabilities 1000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= H M S Oriens1st Fund;
0001193125-25-098257 20231231 Liabilities 246000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K B K T B Technology Venture Fund;
0001193125-25-098257 20231231 Liabilities 486000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Future Contents Fund;
0001193125-25-098257 20231231 Liabilities 652000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= N A V E R K T B Audio Contents Fund;
0001193125-25-098257 20231231 Liabilities 122000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Orchestra Private Equity Fund Iv;
0001193125-25-098257 20231231 Liabilities 456000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Q Corporate Restructuring Private Equity Fund;
0001193125-25-098257 20231231 Liabilities 10796683000000.0000 KRW 0 ifrs/2024 Segments= Capital Business;
0001193125-25-098257 20231231 Liabilities 0.0000 KRW 0 ifrs/2024 Segments= Internal Adjustments;
0001193125-25-098257 20241231 Liabilities 165000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= I B K K I P Seongjang Dideemdol1st Private Investment Limited Partnership;
0001193125-25-098257 20241231 Liabilities 62343000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Korea Credit Bureau Co Ltd;
0001193125-25-098257 20241231 Liabilities 434000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Future Contents Fund;
0001193125-25-098257 20241231 Liabilities 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20241231 Liabilities 280745000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori General Private Securities Investment Trust No7 Bond;
0001193125-25-098257 20241231 Liabilities 166250000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Smart General Private Equity Investment Trust1 Bond;
0001193125-25-098257 20241231 Liabilities 30000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2025;
0001193125-25-098257 20241231 Adjustment For Foreign Currency Translation 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Gain On Investment Of Associates And Joint Ventures Accounted For Using Equity Method 96176000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Gain On Transaction And Change In Fair Value Of Derivatives 129905000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Increase Decrease In Deposits From Customers 23536088000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Impairment Losses Of Property Plant And Equipment And Other Assets 3627000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Increase Decrease In Deposits From Customers 2308210000.0000 USD 4 ifrs/2024
0001193125-25-098257 20221231 Adjustments For Increase Decrease In Employee Benefit Liabilities -133421000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20231231 Adjustments For Increase Decrease In Other Liabilities 95559000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20241231 Adjustments For Loss On Disposal Of Premises And Equipment And Other Assets 2233000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Loss On Disposal Of Premises And Equipment And Other Assets 1511000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Loss On Transaction And Change In Fair Value Of Derivatives 24252000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Loss On Valuation Of Financial Assets At Fair Value Through Profit Or Loss 815706000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20231231 Adjustments For Loss On Valuation Of Financial Assets At Fair Value Through Profit Or Loss 0.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20221231 Adjustments For Reversal Of Impairment Loss On Premises And Equipment And Other Assets 310000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Reversal Of Impairment Loss On Premises And Equipment And Other Assets 147000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Adjustments For Reversal Of Impairment Loss On Premises And Equipment And Other Assets 99000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20211231 Assets 3618528000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Asset Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20211231 Assets 3037073000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Assets At Fair Value Through Profit Or Loss Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20211231 Assets 4641000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Liability Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20211231 Assets 213635000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Loans Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 1458776000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Beneficiary Certificates Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 144840000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Others Of Financial Assets At Fair Value Through Profit Or Loss; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20221231 Assets 443340979000000.0000 KRW 0 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20231231 Assets 498004936000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Assets 4933942000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Financial Assets At Fair Value Through Profit Or Loss Category; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy;
0001193125-25-098257 20231231 Assets 25030000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Bts2nd Private Equity Fund;
0001193125-25-098257 20231231 Assets 20799599000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K Bank Co Ltd;
0001193125-25-098257 20231231 Assets 182850000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Venture Fund No16;
0001193125-25-098257 20231231 Assets 22329308000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Lotte Card Co Ltd;
0001193125-25-098257 20231231 Assets 65063000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Midas No.8 Private Equity Joint Venture Company;
0001193125-25-098257 20231231 Assets 67024000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori First Value Private Real Estate Fund No2;
0001193125-25-098257 20231231 Assets 62642000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Zip2;
0001193125-25-098257 20241231 Other Assets 44430000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Assets For Nonbusiness Use;
0001193125-25-098257 20241231 Liabilities 41000000.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Together T D F2030;
0001193125-25-098257 20241231 Liabilities 0.0000 KRW 0 ifrs/2024 Investments In Associates And Joint Ventures= Woori Usd Treasury Target Return Bond Fof;
0001193125-25-098257 20241231 Liabilities 456944053000000.0000 KRW 0 ifrs/2024 Segments= Banking1;
0001193125-25-098257 20231231 Loans And Other Financial Assets At Amortised Cost 5527208000000.0000 KRW 0 0001193125-25-098257 Geographical Areas= U S;
0001193125-25-098257 20231231 Loans And Other Financial Assets At Amortised Cost 5583281000000.0000 KRW 0 0001193125-25-098257 Products And Services= Construction1;
0001193125-25-098257 20231231 Loans And Other Financial Assets At Amortised Cost 44591685000000.0000 KRW 0 0001193125-25-098257 Products And Services= Manufacturing;
0001193125-25-098257 20241231 Loans And Other Financial Assets At Amortised Cost 398471816000000.0000 KRW 0 0001193125-25-098257 Classes Of Assets= Loans And Other Financial Assets At Amortised Cost Category;
0001193125-25-098257 20231231 Loans Received 30986746000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20231231 Net Cash Received From Operating Activities 8451848000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Net Cash Received From Operating Activities 9706334000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Net Increase In Non Controlling Equity Liabilities 6589000000.0000 KRW 4 0001193125-25-098257
0001193125-25-098257 20241231 Noncontrolling Interests 1216802000.0000 USD 0 ifrs/2024
0001193125-25-098257 20231231 Noncurrent Assets Or Disposal Groups Classified As Held For Sale 8772000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Others Of Held For Sale;
0001193125-25-098257 20241231 Noncurrent Assets Or Disposal Groups Classified As Held For Sale 73989000000.0000 KRW 0 ifrs/2024
0001193125-25-098257 20221231 Nonoperatingincomeexpense -20282000000.0000 KRW 4 0001193125-25-098257 Segments= Consolidated Adjustments;
0001193125-25-098257 20221231 Nonoperatingincomeexpense -6373000000.0000 KRW 4 0001193125-25-098257 Segments= Credit Card Business;
0001193125-25-098257 20231231 Nonoperatingincomeexpense 6812000000.0000 KRW 4 0001193125-25-098257 Segments= Consolidated Adjustments;
0001193125-25-098257 20241231 Nonoperatingincomeexpense -21884000.0000 USD 4 0001193125-25-098257
0001193125-25-098257 20241231 Other Assets 3965839000000.0000 KRW 0 ifrs/2024 Classes Of Assets= Rightofuse Assets;
0001193125-25-098257 20221231 Other Comprehensive Income -239819000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Other Comprehensive Income -22312000000.0000 KRW 4 ifrs/2024 Categories Of Related Parties= Parent;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= H M S Oriens1st Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K T B N Media Contents Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Paratus Woori Material Component Equipment Joint Venture Company;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Rea Company;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Dyno1st Private Equity Fund;
0001193125-25-098257 20231231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori G Real Infrastructure Blind General Type Private Placement Investment Trust;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Godo Kaisha Oceanos1;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Japanese Hotel Real Estate Private Equity Fund2;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= K G Fashion Co Ltd;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Korea Credit Bureau Co Ltd;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Portone Cape Fund No1;
0001193125-25-098257 20241231 Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Investments In Associates And Joint Ventures= Woori Service Networks Co Ltd;
0001193125-25-098257 20241231 Profit Loss Attributable To Noncontrolling Interests 57831000.0000 USD 4 ifrs/2024
0001193125-25-098257 20241231 Other Comprehensive Income Attributable To Noncontrolling Interests 99568000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 0.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Cash Flow Hedges -16524000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 6591000000.0000 KRW 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 0.0000 USD 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 4459000.0000 USD 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 0.0000 USD 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Cash Flow Hedges 0.0000 USD 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 32536000000.0000 KRW 4 ifrs/2024
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 KRW 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001193125-25-098257 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 39780000000.0000 KRW 4 ifrs/2024 Components Of Equity= Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 USD 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 USD 4 ifrs/2024 Components Of Equity= Hybrid Securities Of Other Equity Interest;
0001193125-25-098257 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 USD 4 ifrs/2024 Components Of Equity= Issued Capital;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001193125-25-098257 20221231 Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income 0.0000 KRW 4 ifrs/2024 Components Of Equity= Issued Capital;

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
tag The unique identifier (name) for a tag in a specific taxonomy release.
version For a standard tag, an identifier for the taxonomy; otherwise the accession number where the tag was defined.
ddate The end date for the data value, rounded to the nearest month end.
qtrs The count of the number of quarters represented by the data value, rounded to the nearest whole number. “0” indicates it is a point-in-time value.
uom The unit of measure for the value.
segments Tags used to represent axis and member reporting.
coreg If specified, indicates a specific co-registrant, the parent company, or other entity (e.g., guarantor). NULL indicates the consolidated entity.
value The value. This is not scaled, it is as found in the Interactive Data file, but is limited to four digits to the right of the decimal point.
footnote The text of any superscripted footnotes on the value, as shown on the statement page, truncated to 512 characters, or if there is no footnote, then this field will be blank.

Tags

tag version custom abstract datatype iord crdr tlabel doc
Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) from investments in equity instruments The amount of other comprehensive income, net of tax, related to gains (losses) from changes in the fair value of investments in equity instruments that the entity has designated at fair value through other comprehensive income applying paragraph 5.7.5 of IFRS 9. [Refer: Other comprehensive income]
Adjustments For Reconcile Profit Loss ifrs/2024 0 0 monetary D D Adjustments to reconcile profit (loss) Adjustments to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Adjustments For Loss On Disposal Of Premises And Equipment And Other Assets 0001193125-25-098257 1 0 monetary D D Adjustments for loss on disposal of premises and equipment and other assets
Dividends Paid Ordinary Shares ifrs/2024 0 0 monetary D D Dividends paid, ordinary shares The amount of dividends paid by the entity on ordinary shares. [Refer: Ordinary shares [member]]
Financial Assets At Fair Value Through Other Comprehensive Income ifrs/2024 0 0 monetary I D Financial assets at fair value through other comprehensive income The amount of financial assets at fair value through other comprehensive income. [Refer: At fair value [member]; Financial assets; Other comprehensive income]
Net Increase In Non Controlling Equity Liabilities 0001193125-25-098257 1 0 monetary D D Net Increase In Non Controlling Equity Liabilities Net increase in non-controlling equity liabilities.
Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, financial assets measured at fair value through other comprehensive income The amount of other comprehensive income, net of tax, after reclassification adjustments, related to financial assets measured at fair value through other comprehensive income applying paragraph 4.1.2A of IFRS 9. [Refer: Financial assets measured at fair value through other comprehensive income; Other comprehensive income]
Profit Loss Before Tax ifrs/2024 0 0 monetary D C Profit (loss) before tax The profit (loss) before tax expense or income. [Refer: Profit (loss)]
Issuance Of Hybrid Securities 0001193125-25-098257 1 0 monetary D D Issuance of hybrid securities
Other Non Operating Income Expense 0001193125-25-098257 1 0 monetary D D Other Non operating Income Expense Other nonoperating income (expense).
Deposits From Customers ifrs/2024 0 0 monetary I C Deposits from customers The amount of deposit liabilities from customers held by the entity.
Fee And Commission Income ifrs/2024 0 0 monetary D C Fee and commission income The amount of income relating to fees and commissions.
General And Administrative Expense ifrs/2024 0 0 monetary D D General and administrative expense The amount of expense relating to general and administrative activities of the entity.
Other Nonfinancial Liabilities ifrs/2024 0 0 monetary I C Other non-financial liabilities The amount of non-financial liabilities that the entity does not separately disclose in the same statement or note. [Refer: Other financial liabilities]
Revenue From Dividends ifrs/2024 0 0 monetary D C Dividend income The amount of dividends recognised as income. Dividends are distributions of profits to holders of equity investments in proportion to their holdings of a particular class of capital.
Adjustments For Gain On Fair Value Hedged Items 0001193125-25-098257 1 0 monetary D C Adjustments for gain on fair value hedged items
Payments For Acquisition Of Securities At Amortised Cost 0001193125-25-098257 1 0 monetary D C Payments for acquisition of securities at amortised cost
Proceeds From Disposal Of Financial Assets At Fair Value Through Other Comprehensive Income 0001193125-25-098257 1 0 monetary D D Proceeds from disposal of financial assets at fair value through other comprehensive income
Deductions Of Income Not Involving Cash Inflows 0001193125-25-098257 1 0 monetary D C Deductions of income not involving cash inflows
Adjustment For Foreign Currency Translation 0001193125-25-098257 1 0 monetary D C Adjustment For Foreign Currency Translation Adjustment for foreign currency translation.
Adjustments For Increase Decrease In Deposits From Customers ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in deposits from customers Adjustments for increase (decrease) in deposits from customers to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Deposits from customers; Profit (loss)]
Adjustments For Increase Decrease In Employee Benefit Liabilities ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in employee benefit liabilities Adjustments for increase (decrease) in employee benefit liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Adjustments For Provisions ifrs/2024 0 0 monetary D D Adjustments for provisions Adjustments for provisions to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Provisions; Profit (loss)]
Bonds Issued ifrs/2024 0 0 monetary I C Bonds issued The amount of bonds issued by the entity.
Increase Decrease Through Treasury Share Transactions ifrs/2024 0 0 monetary D C Increase (decrease) through treasury share transactions, equity The increase (decrease) in equity resulting from treasury share transactions. [Refer: Equity; Treasury shares]
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax ifrs/2024 0 0 monetary D C Other comprehensive income that will not be reclassified to profit or loss, net of tax The amount of other comprehensive income that will not be reclassified to profit or loss, net of tax. [Refer: Other comprehensive income]
Other Inflows Outflows Of Cash Classified As Investing Activities ifrs/2024 0 0 monetary D D Other inflows (outflows) of cash, classified as investing activities Inflows (outflows) of cash, classified as investing activities, that the entity does not separately disclose in the same statement or note.
Proceeds From Sales Of Intangible Assets Classified As Investing Activities ifrs/2024 0 0 monetary D D Proceeds from sales of intangible assets, classified as investing activities The cash inflow from sales of intangible assets, classified as investing activities. [Refer: Intangible assets other than goodwill]
Profit Loss From Operating Activities ifrs/2024 0 0 monetary D C Profit (loss) from operating activities The profit (loss) from operating activities of the entity. [Refer: Profit (loss)]
Purchase Of Interests In Investments Accounted For Using Equity Method ifrs/2024 0 0 monetary D C Purchase of interests in investments accounted for using equity method The cash outflow for the purchase of interests in investments accounted for using the equity method. [Refer: Investments accounted for using equity method]
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 ifrs/2024 0 0 monetary D C 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 Share of the other comprehensive income of associates and joint ventures accounted for using the equity method that will be reclassified to profit or loss, net of tax.
Adjustments For Loss On Valuation Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 0001193125-25-098257 1 0 monetary D D Adjustments for loss on valuation of investment in associates and joint ventures accounted for using equity method
Cash In Flows From Hedging Activities 0001193125-25-098257 1 0 monetary D D Cash In Flows From Hedging Activities Cash in-flows from hedging activities.
Proceeds From Disposal Of Financial Assets At Fair Value Through Profit Or Loss 0001193125-25-098257 1 0 monetary D D Proceeds from disposal of financial assets at fair value through profit or loss
Repayment Of Hybrid Securities 0001193125-25-098257 1 0 monetary D C Repayment of hybrid securities
Comprehensive Income ifrs/2024 0 0 monetary D C Comprehensive income The amount of change in equity resulting from transactions and other events, other than those changes resulting from transactions with owners in their capacity as owners.
Deferred Tax Assets ifrs/2024 0 0 monetary I D Deferred tax assets The amounts of income taxes recoverable in future periods in respect of: (a) deductible temporary differences; (b) the carryforward of unused tax losses; and (c) the carryforward of unused tax credits. [Refer: Temporary differences [member]; Unused tax credits [member]; Unused tax losses [member]]
Cash And Cash Equivalents ifrs/2024 0 0 monetary I D Cash and cash equivalents The amount of cash on hand and demand deposits, along with short-term, highly liquid investments that are readily convertible to known amounts of cash and that are subject to an insignificant risk of changes in value. [Refer: Cash; Cash equivalents]
Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 0 0 monetary D D Cash flows from losing control of subsidiaries or other businesses, classified as investing activities The aggregate cash flows arising from losing control of subsidiaries or other businesses, classified as investing activities. [Refer: Total for all subsidiaries [member]]
Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2024 0 0 monetary D D Effect of exchange rate changes on cash and cash equivalents The effect of exchange rate changes on cash and cash equivalents held or due in a foreign currency. [Refer: Cash and cash equivalents]
Interest Income For Financial Assets Measured At Amortised Cost ifrs/2024 0 0 monetary D C Interest revenue for financial assets measured at amortised cost The amount of revenue arising from interest for financial assets that are measured at amortised cost. [Refer: Interest income; Financial assets at amortised cost]
Income Tax Expense Continuing Operations ifrs/2024 0 0 monetary D D Tax expense (income) The aggregate amount included in the determination of profit (loss) for the period in respect of current tax and deferred tax. [Refer: Current tax expense (income); Deferred tax expense (income)]
Investment Accounted For Using Equity Method ifrs/2024 0 0 monetary I D Investments accounted for using equity method The amount of investments accounted for using the equity method. The equity method is a method of accounting whereby the investment is initially recognised at cost and adjusted thereafter for the post-acquisition change in the investor's share of net assets of the investee. The investor's profit or loss includes its share of the profit or loss of the investee. The investor's other comprehensive income includes its share of the other comprehensive income of the investee. [Refer: At cost [member]]
Investment Property ifrs/2024 0 0 monetary I D Investment property The amount of property (land or a building - or part of a building - or both) held (by the owner or by the lessee as a right-of-use asset) to earn rentals or for capital appreciation or both, rather than for: (a) use in the production or supply of goods or services or for administrative purposes; or (b) sale in the ordinary course of business.
Other Equity Interest ifrs/2024 0 0 monetary I C Other equity interest The amount of equity interest of an entity without share capital that the entity does not separately disclose in the same statement or note.
Other Reversals Of Provisions ifrs/2024 0 0 monetary D C Other reversals of provisions The amount of reversals of provisions that the entity does not separately disclose in the same statement or note. [Refer: Provisions]
Payments To Acquire Or Redeem Entitys Shares ifrs/2024 0 0 monetary D C Payments to acquire or redeem entity's shares The cash outflow to acquire or redeem entity's shares.
Profit Loss Attributable To Noncontrolling Interests ifrs/2024 0 0 monetary D C Profit (loss), attributable to non-controlling interests The profit (loss) from continuing and discontinued operations attributable to non-controlling interests. [Refer: Profit (loss); Non-controlling interests]
Adjustments For Impairment Losses Of Property Plant And Equipment And Other Assets 0001193125-25-098257 1 0 monetary D D Adjustments For Impairment Losses Of Property Plant And Equipment And Other Assets Adjustments for impairment losses of property plant and equipment and other assets.
Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method ifrs/2024 0 0 monetary D C Share of profit (loss) of associates and joint ventures accounted for using equity method The entity's share of the profit (loss) of associates and joint ventures accounted for using the equity method. [Refer: Total for all associates [member]; Investments accounted for using equity method; Total for all joint ventures [member]; Profit (loss)]
Adjustments For Loss On Fair Value Hedged Items 0001193125-25-098257 1 0 monetary D D Adjustments for loss on fair value hedged items
Adjustments For Loss On Transaction And Change In Fair Value Of Derivatives 0001193125-25-098257 1 0 monetary D D Adjustments for loss on transaction and change in fair value of derivatives
Adjustments For Reversal Of Impairment Loss On Premises And Equipment And Other Assets 0001193125-25-098257 1 0 monetary D C Adjustments for reversal of impairment loss on premises and equipment and other assets
Dividends Paid On Hybrid Securities 0001193125-25-098257 1 0 monetary D C Dividends paid on hybrid securities
Impairment Losses Recognised Due To Credit Loss 0001193125-25-098257 1 0 monetary D D Impairment losses recognised due to credit loss
Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0001193125-25-098257 1 0 monetary D C Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income Reclassification adjustments on equity due to disposal of equity securities of financial assets measured at fair value through other comprehensive income.
Redemption Of Hybrid Securities 0001193125-25-098257 1 0 monetary D D Redemption of hybrid securities
Derivative Financial Liabilities Held For Hedging ifrs/2024 0 0 monetary I C Derivative financial liabilities held for hedging The amount of derivative financial liabilities held for hedging. [Refer: Derivative financial liabilities]
Adjustments For Decrease Increase In Other Assets ifrs/2024 0 0 monetary D D Adjustments for decrease (increase) in other assets Adjustments for decrease (increase) in other assets to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Other assets; Profit (loss)]
Assets ifrs/2024 0 0 monetary I D Assets The amount of a present economic resource controlled by the entity as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Derivative Financial Assets Held For Hedging ifrs/2024 0 0 monetary I D Derivative financial assets held for hedging The amount of derivative financial assets held for hedging. [Refer: Derivative financial assets]
Diluted Earnings Loss Per Share ifrs/2024 0 0 perShare D Diluted earnings (loss) per share The amount of profit (loss) attributable to ordinary equity holders of the parent entity (the numerator), divided by the weighted average number of ordinary shares outstanding during the period (the denominator), both adjusted for the effects of all dilutive potential ordinary shares. [Refer: Ordinary shares [member]; Weighted average [member]]
Increase Decrease Through Transfers And Other Changes Equity ifrs/2024 0 0 monetary D C Increase (decrease) through other changes, equity The increase (decrease) in equity resulting from changes that the entity does not separately disclose in the same statement or note. [Refer: Equity]
Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax ifrs/2024 0 0 monetary D C Other comprehensive income that will be reclassified to profit or loss, net of tax The amount of other comprehensive income that will be reclassified to profit or loss, net of tax. [Refer: Other comprehensive income]
Payments Of Lease Liabilities Classified As Financing Activities ifrs/2024 0 0 monetary D C Payments of lease liabilities, classified as financing activities The cash outflow for payment of lease liabilities, classified as financing activities. [Refer: Lease liabilities]
Property Plant And Equipment ifrs/2024 0 0 monetary I D Property, plant and equipment The amount of tangible assets that: (a) are held for use in the production or supply of goods or services, for rental to others, or for administrative purposes; and (b) are expected to be used during more than one period. Note that right-of-use assets are not included. [Contrast: Property, plant and equipment including right-of-use assets]
Adjustments For Income Tax Expense ifrs/2024 0 0 monetary D D Adjustments for income tax expense Adjustments for income tax expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Cash Inflows And Outflow From Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 0001193125-25-098257 1 0 monetary D C Cash Inflows And Outflow From Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities Cash inflows and outflow from obtaining control of subsidiaries or other businesses classified as investing activities
Net Cash Received From Operating Activities 0001193125-25-098257 1 0 monetary D D Net Cash Received From Operating Activities
Payments For Acquisition Of Financial Assets At Fair Value Through Other Comprehensive Income 0001193125-25-098257 1 0 monetary D C Payments for acquisition of financial assets at fair value through other comprehensive income
Other Comprehensive Income Net Of Tax Cash Flow Hedges ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, cash flow hedges The amount of other comprehensive income, net of tax, after reclassification adjustments, related to cash flow hedges. [Refer: Cash flow hedges [member]; Other comprehensive income]
Adjustments For Interest Income ifrs/2024 0 0 monetary D C Adjustments for interest income Adjustments for interest income expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest income; Profit (loss)]
Increase Decrease Through Change In Equity Of Subsidiaries ifrs/2024 0 0 monetary D C Increase (decrease) through change in equity of subsidiaries, equity The increase (decrease) in the entity's equity resulting from the change in the equity of subsidiaries. [Refer: Total for all subsidiaries [member]]
Interest Revenue Expense ifrs/2024 0 0 monetary D C Interest income (expense) The amount of income or expense arising from interest. [Refer: Interest expense; Interest income]
Proceeds From Sale Or Issue Of Treasury Shares ifrs/2024 0 0 monetary D D Proceeds from sale or issue of treasury shares The cash inflow from the sale or issuing of treasury shares. [Refer: Sale or issue of treasury shares; Treasury shares]
Adjustments For Increase Decrease In Other Liabilities ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in other liabilities Adjustments for increase (decrease) in other liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Other liabilities; Profit (loss)]
Current Tax Liabilities ifrs/2024 0 0 monetary I C Current tax liabilities The amount of current tax for current and prior periods to the extent unpaid. Current tax is the amount of income taxes payable (recoverable) in respect of the taxable profit (tax loss) for a period.
Equity Attributable To Owners Of Parent ifrs/2024 0 0 monetary I C Equity attributable to owners of parent The amount of equity attributable to the owners of the parent. This specifically excludes non-controlling interest.
Fee And Commission Expense ifrs/2024 0 0 monetary D D Fee and commission expense The amount of expense relating to fees and commissions.
Adjustments For Gain On Disposal Of Investments In Associates And Joint Ventures 0001193125-25-098257 1 0 monetary D C Adjustments for gain on disposal of investments in associates and joint ventures
Adjustments For Gain On Valuation Of Financial Instruments At Fair Value Through Profit Or Loss In Accordance With I F R S9 0001193125-25-098257 1 0 monetary D C Adjustments for gain on valuation of financial instruments at fair value through profit or loss in accordance with IFRS 9
Dividends To Hybrid Securities 0001193125-25-098257 1 0 monetary D C Dividends to hybrid securities Dividends to hybrid securities.
Proceeds From Disposal Of Financial Assets At Amortised Cost 0001193125-25-098257 1 0 monetary D D Proceeds from disposal of financial assets at amortised cost
Securities Of Financial Assets At Amortised Cost 0001193125-25-098257 1 0 monetary I D Securities of financial assets at amortised cost
Adjustments For Dividend Income ifrs/2024 0 0 monetary D C Adjustments for dividend income Adjustments for dividend income to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Dividend income; Profit (loss)]
Cash Flows From Used In Financing Activities ifrs/2024 0 0 monetary D D Cash flows from (used in) financing activities The cash flows from (used in) financing activities, which are activities that result in changes in the size and composition of the contributed equity and borrowings of the entity, from continuing and discontinued operations.
Financial Liabilities At Fair Value Through Profit Or Loss ifrs/2024 0 0 monetary I C Financial liabilities at fair value through profit or loss The amount of financial liabilities that meet either of the following conditions: (a) they meet the definition of held for trading; or (b) upon initial recognition they are designated by the entity as at fair value through profit or loss. An entity may use this designation only when permitted by paragraph 4.3.5 of IFRS 9 (embedded derivatives) or when doing so results in more relevant information, because either: (a) it eliminates or significantly reduces a measurement or recognition inconsistency (sometimes referred to as ?an accounting mismatch?) that would otherwise arise from measuring assets or liabilities or recognising the gains and losses on them on different bases; or (b) a group of financial liabilities or financial assets and financial liabilities is managed and its performance is evaluated on a fair value basis, in accordance with a documented risk management or investment strategy, and information about the group is provided internally on that basis to the entity?s key management personnel (as defined in IAS 24). [Refer: At fair value [member]; Key management personnel of entity or parent [member]; Derivatives [member]; Financial assets; Financial liabilities]
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Before Tax ifrs/2024 0 0 monetary D C Gains (losses) on financial assets measured at fair value through other comprehensive income, before tax The gains (losses) recognised in other comprehensive income on financial assets measured at fair value through other comprehensive income applying paragraph 4.1.2A of IFRS 9, before tax, before reclassification adjustments. [Refer: Financial assets measured at fair value through other comprehensive income; Other comprehensive income]
Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, exchange differences on translation of foreign operations The amount of other comprehensive income, net of tax, after reclassification adjustments, related to exchange differences when financial statements of foreign operations are translated. [Refer: Other comprehensive income]
Liabilities ifrs/2024 0 0 monetary I C Liabilities The amount of a present obligation of the entity to transfer an economic resource as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Loans Received ifrs/2024 0 0 monetary I C Loans received The amount of loans received.
Other Inflows Outflows Of Cash Classified As Financing Activities ifrs/2024 0 0 monetary D D Other inflows (outflows) of cash, classified as financing activities Inflows (outflows) of cash, classified as financing activities, that the entity does not separately disclose in the same statement or note.
Profit Loss ifrs/2024 0 0 monetary D C Profit (loss) The total of income less expenses from continuing and discontinued operations, excluding the components of other comprehensive income. [Refer: Other comprehensive income]
Adjustments For Decrease Increase In Financial Instruments At Fair Value Through Profit Or Loss In Accordance With I F R S9 0001193125-25-098257 1 0 monetary D D Adjustments for decrease (increase) in financial instruments at fair value through profit or loss in accordance with IFRS 9
Adjustments For Loss On Valuation Of Financial Assets At Fair Value Through Profit Or Loss 0001193125-25-098257 1 0 monetary D D Loss on valuation of financial instruments at FVTPL
Adjustments For Postemployment Benefit Expense Defined Benefit Plans 0001193125-25-098257 1 0 monetary D D Adjustments for postemployment benefit expense defined benefit plans
Increase Through Comprehensive Stock Exchange 0001193125-25-098257 1 0 monetary D C Increase through comprehensive stock exchange
Interest Income On Financial Assets Measured At Fair Value Through Profit Or Loss 0001193125-25-098257 1 0 monetary D C Interest Income On Financial Assets Measured At Fair Value Through Profit Or Loss Interest income on financial assets measured at fair value through profit or loss.
Proceeds And Repayments From Borrowings Classified As Financing Activities 0001193125-25-098257 1 0 monetary D D Proceeds And Repayments From Borrowings Classified As Financing Activities Proceeds and repayments from borrowings classified as financing activities.
Adjustments For Increase Decrease In Other Financial Liabilities ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in other financial liabilities Adjustments for increase (decrease) in financial liabilities that the entity does not separately disclose in the same statement or note to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Other financial liabilities; Profit (loss)]
Adjustments For Interest Expense ifrs/2024 0 0 monetary D D Adjustments for interest expense Adjustments for interest expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest expense; Profit (loss)]
Cash Flows From Used In Investing Activities ifrs/2024 0 0 monetary D D Cash flows from (used in) investing activities The cash flows from (used in) investing activities, which are the acquisition and disposal of long-term assets and other investments not included in cash equivalents, from continuing and discontinued operations.
Dividends Received Classified As Operating Activities ifrs/2024 0 0 monetary D D Dividends received, classified as operating activities The cash inflow from dividends received, classified as operating activities. [Refer: Dividends received]
Equity ifrs/2024 0 0 monetary I C Equity The amount of residual interest in the assets of the entity after deducting all its liabilities.
Gain Loss On Designation Of Financial Instrument As Measured At Fair Value Through Profit Or Loss Because Credit Derivative Is Used To Manage Credit Risk ifrs/2024 0 0 monetary D C Gain (loss) on designation of financial instrument as measured at fair value through profit or loss because credit derivative is used to manage credit risk The gain (loss) recognised on designation of a financial instrument, or a proportion of it, as measured at fair value through profit or loss, because a credit derivative is used to manage the credit risk of that financial instrument. [Refer: Credit risk [member]; Derivatives [member]; Classes of financial instruments [domain]]
Intangible Assets And Goodwill ifrs/2024 0 0 monetary I D Intangible assets and goodwill The amount of intangible assets and goodwill held by the entity. [Refer: Goodwill; Intangible assets other than goodwill]
Interest Expense ifrs/2024 0 0 monetary D D Interest expense The amount of expense arising from interest.
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 ifrs/2024 0 0 monetary D C 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 Share of the other comprehensive income of associates and joint ventures accounted for using the equity method that will not be reclassified to profit or loss, net of tax.
Adjustments For Gain On Investment Of Associates And Joint Ventures Accounted For Using Equity Method 0001193125-25-098257 1 0 monetary D C Adjustments for gain on investment of associates and joint ventures accounted for using equity method
Adjustments For Loss On Financial Assets Measured At Fair Value Through Other Comprehensive Income 0001193125-25-098257 1 0 monetary D D Adjustments For Loss On Financial Assets Measured At Fair Value Through Other Comprehensive Income
Gains Losses Arising From Derecognition Of Financial Assets Measured At Amortised Cost 0001193125-25-098257 1 0 monetary D C Gains (losses) arising from derecognition of financial assets measured at amortised cost
Adjustments For Depreciation And Amortisation Expense ifrs/2024 0 0 monetary D D Adjustments for depreciation and amortisation expense Adjustments for depreciation and amortisation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Depreciation and amortisation expense; Profit (loss)]
Dividends Paid To Noncontrolling Interests Classified As Financing Activities ifrs/2024 0 0 monetary D C Dividends paid to non-controlling interests, classified as financing activities The cash outflow for dividends paid to non-controlling interests, classified as financing activities. [Refer: Non-controlling interests; Dividends paid to non-controlling interests]
Interest Paid Classified As Operating Activities ifrs/2024 0 0 monetary D C Interest paid, classified as operating activities The cash outflow for interest paid, classified as operating activities.
Noncontrolling Interests ifrs/2024 0 0 monetary I C Non-controlling interests The amount of equity in a subsidiary not attributable, directly or indirectly, to a parent. [Refer: Total for all subsidiaries [member]]
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans The amount of other comprehensive income, net of tax, related to gains (losses) on remeasurements of defined benefit plans, which comprise actuarial gains and losses; the return on plan assets, excluding amounts included in net interest on the net defined benefit liability (asset); and any change in the effect of the asset ceiling, excluding amounts included in net interest on the net defined benefit liability (asset). [Refer: Other comprehensive income; Defined benefit plans [domain]; Plan assets [member]; Net defined benefit liability (asset)] [Contrast: Decrease (increase) in net defined benefit liability (asset) resulting from gain (loss) on remeasurement in other comprehensive income]
Other Provisions ifrs/2024 0 0 monetary I C Other provisions The amount of provisions other than provisions for employee benefits. [Refer: Provisions]
Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method ifrs/2024 0 0 monetary D C Share of other comprehensive income of associates and joint ventures accounted for using equity method, net of tax The entity's share of the other comprehensive income of associates and joint ventures accounted for using the equity method, net of tax. [Refer: Total for all associates [member]; Investments accounted for using equity method; Total for all joint ventures [member]; Other comprehensive income]
Adjustments For Loss On Disposal Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 0001193125-25-098257 1 0 monetary D D Adjustments for loss on disposal of investment in associates and joint ventures accounted for using equity method
Increase Decrease In Noncontrolling Interest Due To Business Combinations 0001193125-25-098257 1 0 monetary D D Increase Decrease In Noncontrolling Interest Due To Business Combinations Increase decrease in noncontrolling interest due to business combinations.
Other Comprehensive Income Net Of Tax From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations 0001193125-25-098257 1 0 monetary D C Other comprehensive loss on valuation of assets held for sale
Basic Earnings Loss Per Share ifrs/2024 0 0 perShare D Basic earnings (loss) per share The amount of profit (loss) attributable to ordinary equity holders of the parent entity (the numerator) divided by the weighted average number of ordinary shares outstanding during the period (the denominator).
Dividends Paid To Equity Holders Of Parent Classified As Financing Activities ifrs/2024 0 0 monetary D C Dividends paid to equity holders of parent, classified as financing activities The cash outflow for dividends paid to equity holders of the parent, classified as financing activities.
Financial Assets At Fair Value Through Profit Or Loss ifrs/2024 0 0 monetary I D Financial assets at fair value through profit or loss The amount of financial assets that are measured at fair value and for which gains (losses) are recognised in profit or loss. A financial asset shall be measured at fair value through profit or loss unless it is measured at amortised cost or at fair value through other comprehensive income. A gain (loss) on a financial asset measured at fair value shall be recognised in profit or loss unless it is part of a hedging relationship, it is an investment in an equity instrument for which the entity has elected to present gains and losses in other comprehensive income or it is a financial asset measured at fair value through other comprehensive income. [Refer: At fair value [member]; Financial assets]
Interest Received Classified As Operating Activities ifrs/2024 0 0 monetary D D Interest received, classified as operating activities The cash inflow from interest received, classified as operating activities.
Noncurrent Assets Or Disposal Groups Classified As Held For Sale ifrs/2024 0 0 monetary I D Non-current assets or disposal groups classified as held for sale The amount of non-current assets or disposal groups classified as held for sale. [Refer: Disposal groups classified as held for sale [member]]
Other Assets ifrs/2024 0 0 monetary I D Other assets The amount of assets that the entity does not separately disclose in the same statement or note.
Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, hedges of net investments in foreign operations The amount of other comprehensive income, net of tax, after reclassification adjustments, related to hedges of net investments in foreign operations. [Refer: Other comprehensive income]
Additions Of Expenses Not Involving Cash Outflows 0001193125-25-098257 1 0 monetary D D Additions of expenses not involving cash outflows
Adjustment For Miscellaneous Other Operating Expense 0001193125-25-098257 1 0 monetary D D Adjustment For Miscellaneous Other Operating Expense Adjustment For Miscellaneous Other Operating Expense.
Adjustments For Gain On Financial Assets At Fair Value Through Other Comprehensive Income 0001193125-25-098257 1 0 monetary D C Adjustments for gain on financial assets at fair value through other comprehensive income
Adjustments For Gain On Transaction And Change In Fair Value Of Derivatives 0001193125-25-098257 1 0 monetary D C Adjustments for gain on transaction and change in fair value of derivatives
Cash Outflow From Changes In Subsidiaries 0001193125-25-098257 1 0 monetary D C Cash Outflow From Changes In Subsidiaries Cash outflow from changes in subsidiaries.
Loans And Other Financial Assets At Amortised Cost 0001193125-25-098257 1 0 monetary I D Loans and other financial assets at amortized cost
Cash Flows From Used In Operating Activities ifrs/2024 0 0 monetary D Cash flows from (used in) operating activities The cash flows from (used in) operating activities, which are the principal revenue-producing activities of the entity and other activities that are not investing or financing activities, from continuing and discontinued operations. [Refer: Revenue]
Fee And Commission Income Expense ifrs/2024 0 0 monetary D C Fee and commission income (expense) The amount of income or expense relating to fees and commissions.
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax ifrs/2024 0 0 monetary D C Gains (losses) on financial assets measured at fair value through other comprehensive income, net of tax The gains (losses) recognised in other comprehensive income on financial assets measured at fair value through other comprehensive income applying paragraph 4.1.2A of IFRS 9, net of tax, before reclassification adjustments. [Refer: Financial assets measured at fair value through other comprehensive income; Other comprehensive income]
Income Taxes Paid Refund Classified As Operating Activities ifrs/2024 0 0 monetary D C Income taxes paid (refund), classified as operating activities The cash flows from income taxes paid or refunded, classified as operating activities. [Refer: Income taxes paid (refund)]
Issued Capital ifrs/2024 0 0 monetary I C Issued capital The nominal value of capital issued.
Other Comprehensive Income ifrs/2024 0 0 monetary D C Other comprehensive income The amount of income and expense (including reclassification adjustments) that is not recognised in profit or loss as required or permitted by IFRSs. [Refer: IFRSs [member]]
Other Comprehensive Income Attributable To Noncontrolling Interests ifrs/2024 0 0 monetary D C Other comprehensive income, attributable to non-controlling interests The amount of other comprehensive income attributable to non-controlling interests. [Refer: Non-controlling interests; Other comprehensive income]
Capital Reduction For Noncontrolling Interests 0001193125-25-098257 1 0 monetary D C Capital reduction for noncontrolling interests
Gains Losses On Financial Instruments At Fair Value Through Profit Or Loss 0001193125-25-098257 1 0 monetary D C Gains losses on financial instruments at fair value through profit or loss
Nonoperatingincomeexpense 0001193125-25-098257 1 0 monetary D C NonoperatingIncomeExpense NonoperatingIncomeExpense

Description
Field Name Field Description
tag The unique identifier (name) for a tag in a specific taxonomy release.
version For a standard tag, an identifier for the taxonomy; otherwise the accession number where the tag was defined.
custom 1 if tag is custom (version=adsh), 0 if it is standard. Note: This flag is technically redundant with the version and adsh columns.
abstract 1 if the tag is not used to represent a numeric fact.
datatype If abstract=1, then NULL, otherwise the data type (e.g., monetary) for the tag.
iord If abstract=1, then NULL; otherwise, “I” if the value is a point-in time, or “D” if the value is a duration.
crdr If datatype = monetary, then the tag’s natural accounting balance (debit or credit); if not defined, then NULL.
tlabel If a standard tag, then the label text provided by the taxonomy, otherwise the text provided by the filer. A tag which had neither would have a NULL value here.
doc The detailed definition for the tag. If a standard tag, then the text provided by the taxonomy, otherwise the text assigned by the filer. Some tags have neither, and this field is NULL.

Presentation of Statements

adsh report line stmt inpth rfile tag version plabel negating
0001193125-25-098257 2 2 BS 0 H Cash And Cash Equivalents ifrs/2024 Cash and cash equivalents 0
0001193125-25-098257 2 3 BS 0 H Financial Assets At Fair Value Through Profit Or Loss ifrs/2024 Financial assets at fair value through profit or loss ("FVTPL") 0
0001193125-25-098257 2 4 BS 0 H Financial Assets At Fair Value Through Other Comprehensive Income ifrs/2024 Financial assets at fair value through other comprehensive income("FVTOCI") 0
0001193125-25-098257 2 5 BS 0 H Securities Of Financial Assets At Amortised Cost 0001193125-25-098257 Securities at amortized cost 0
0001193125-25-098257 2 6 BS 0 H Loans And Other Financial Assets At Amortised Cost 0001193125-25-098257 Loans and other financial assets at amortized cost 0
0001193125-25-098257 2 7 BS 0 H Investment Accounted For Using Equity Method ifrs/2024 Investments in joint ventures and associates 0
0001193125-25-098257 2 8 BS 0 H Investment Property ifrs/2024 Investment properties 0
0001193125-25-098257 2 9 BS 0 H Property Plant And Equipment ifrs/2024 Premises and equipment 0
0001193125-25-098257 2 10 BS 0 H Intangible Assets And Goodwill ifrs/2024 Intangible assets 0
0001193125-25-098257 2 11 BS 0 H Noncurrent Assets Or Disposal Groups Classified As Held For Sale ifrs/2024 Assets held for sale 0
0001193125-25-098257 2 12 BS 0 H Recognised Assets Defined Benefit Plan ifrs/2024 Net defined benefit asset 0
0001193125-25-098257 2 13 BS 0 H Current Tax Assets ifrs/2024 Current tax assets 0
0001193125-25-098257 2 14 BS 0 H Deferred Tax Assets ifrs/2024 Deferred tax assets 0
0001193125-25-098257 2 15 BS 0 H Derivative Financial Assets Held For Hedging ifrs/2024 Derivative assets (Designated for hedging) 0
0001193125-25-098257 2 16 BS 0 H Other Assets ifrs/2024 Other assets 0
0001193125-25-098257 2 17 BS 0 H Assets ifrs/2024 Total assets 0
0001193125-25-098257 2 20 BS 0 H Financial Liabilities At Fair Value Through Profit Or Loss ifrs/2024 Financial liabilities at fair value through profit or loss ("FVTPL") 0
0001193125-25-098257 2 21 BS 0 H Deposits From Customers ifrs/2024 Deposits due to customers 0
0001193125-25-098257 2 22 BS 0 H Loans Received ifrs/2024 Borrowings 0
0001193125-25-098257 2 23 BS 0 H Bonds Issued ifrs/2024 Debentures 0
0001193125-25-098257 2 24 BS 0 H Other Provisions ifrs/2024 Provisions 0
0001193125-25-098257 2 25 BS 0 H Recognised Liabilities Defined Benefit Plan ifrs/2024 Net defined benefit liability 0
0001193125-25-098257 2 26 BS 0 H Current Tax Liabilities ifrs/2024 Current tax liabilities 0
0001193125-25-098257 2 27 BS 0 H Deferred Tax Liabilities ifrs/2024 Deferred tax liabilities 0
0001193125-25-098257 2 28 BS 0 H Derivative Financial Liabilities Held For Hedging ifrs/2024 Derivative liabilities (Designated for hedging) 0
0001193125-25-098257 2 29 BS 0 H Other Financial Liabilities ifrs/2024 Other financial liabilities 0
0001193125-25-098257 2 30 BS 0 H Other Nonfinancial Liabilities ifrs/2024 Other liabilities 0
0001193125-25-098257 2 31 BS 0 H Liabilities ifrs/2024 Total liabilities 0
0001193125-25-098257 2 33 BS 0 H Equity Attributable To Owners Of Parent ifrs/2024 Owners' equity 0
0001193125-25-098257 2 34 BS 0 H Issued Capital ifrs/2024 Capital stock 0
0001193125-25-098257 2 35 BS 0 H Hybrid Securities Of Other Equity Interest 0001193125-25-098257 Hybrid securities 0
0001193125-25-098257 2 36 BS 0 H Capital Reserve ifrs/2024 Capital surplus 0
0001193125-25-098257 2 37 BS 0 H Other Equity Interest ifrs/2024 Other equity 0
0001193125-25-098257 2 38 BS 0 H Retained Earnings ifrs/2024 Retained earnings 0
0001193125-25-098257 2 39 BS 0 H Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001193125-25-098257 2 40 BS 0 H Equity ifrs/2024 Total equity 0
0001193125-25-098257 2 41 BS 0 H Equity And Liabilities ifrs/2024 Total liabilities and equity 0
0001193125-25-098257 3 1 IS 0 H Revenue From Interest ifrs/2024 Interest income 0
0001193125-25-098257 3 2 IS 0 H Interest Income On Financial Assets Measured At Fair Value Through Profit Or Loss 0001193125-25-098257 Financial assets at FVTPL 0
0001193125-25-098257 3 3 IS 0 H Interest Revenue For Financial Assets Measured At Fair Value Through Other Comprehensive Income ifrs/2024 Financial assets at FVTOCI 0
0001193125-25-098257 3 4 IS 0 H Interest Income For Financial Assets Measured At Amortised Cost ifrs/2024 Financial assets at amortized cost 0
0001193125-25-098257 3 5 IS 0 H Interest Expense ifrs/2024 Interest expense 1
0001193125-25-098257 3 6 IS 0 H Interest Revenue Expense ifrs/2024 Net interest income (Notes 11, 30 and 41) 0
0001193125-25-098257 3 7 IS 0 H Fee And Commission Income ifrs/2024 Fees and commissions income 0
0001193125-25-098257 3 8 IS 0 H Fee And Commission Expense ifrs/2024 Fees and commissions expense 1
0001193125-25-098257 3 9 IS 0 H Fee And Commission Income Expense ifrs/2024 Net fees and commissions income (Notes 11, 31 and 41) 0
0001193125-25-098257 3 10 IS 0 H Revenue From Dividends ifrs/2024 Dividend income (Notes 11, 32 and 41) 0
0001193125-25-098257 3 11 IS 0 H Gains Losses On Financial Instruments At Fair Value Through Profit Or Loss 0001193125-25-098257 Net gain on financial instruments at FVTPL (Notes 11, 33 and 41) 0
0001193125-25-098257 3 12 IS 0 H Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Before Tax ifrs/2024 Net gain (loss) on financial assets at FVTOCI (Notes 11 and 34) 0
0001193125-25-098257 3 13 IS 0 H Gains Losses Arising From Derecognition Of Financial Assets Measured At Amortised Cost 0001193125-25-098257 Net gain arising on financial assets at amortized cost (Note 11) 0
0001193125-25-098257 3 14 IS 0 H Impairment Losses Recognized Or Reversed Due To Credit Loss 0001193125-25-098257 Impairment losses due to credit loss (Notes 35 and 41) 1
0001193125-25-098257 3 15 IS 0 H General And Administrative Expense ifrs/2024 General and administrative expenses (Notes 36 and 41) 1
0001193125-25-098257 3 16 IS 0 H Other Operating Income Expense ifrs/2024 Other net operating expense (Notes 11, 26, 36 and 41) 0
0001193125-25-098257 3 17 IS 0 H Profit Loss From Operating Activities ifrs/2024 Operating income 0
0001193125-25-098257 3 18 IS 0 H Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method ifrs/2024 Share of gain of joint ventures and associates (Note 13) 0
0001193125-25-098257 3 19 IS 0 H Other Non Operating Income Expense 0001193125-25-098257 Other non-operating income (expense) 1
0001193125-25-098257 3 20 IS 0 H Nonoperatingincomeexpense 0001193125-25-098257 Non-operating income (expense) 0
0001193125-25-098257 3 21 IS 0 H Profit Loss Before Tax ifrs/2024 Non-operating income (expense) (Note 37) 0
0001193125-25-098257 3 22 IS 0 H Income Tax Expense Continuing Operations ifrs/2024 Income tax expense (Note 38) 1
0001193125-25-098257 3 23 IS 0 H Profit Loss ifrs/2024 Net income 0
0001193125-25-098257 3 25 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2024 Net gain (loss) on valuation of equity securities at FVTOCI 0
0001193125-25-098257 3 26 IS 0 H Other Comprehensive Income Net Of Tax Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability ifrs/2024 Net gain on credit risk fluctuation of financial liabilities designated to be measured at FVTPL 0
0001193125-25-098257 3 27 IS 0 H 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 ifrs/2024 Changes in capital due to equity method 0
0001193125-25-098257 3 28 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2024 Remeasurement gain (loss) related to defined benefit plan 0
0001193125-25-098257 3 29 IS 0 H Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax ifrs/2024 Items that will not be reclassified to profit or loss 0
0001193125-25-098257 3 30 IS 0 H Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax ifrs/2024 Net gain (loss) on valuation of debt securities at FVTOCI 0
0001193125-25-098257 3 31 IS 0 H 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 ifrs/2024 Changes in capital due to equity method 0
0001193125-25-098257 3 32 IS 0 H Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2024 Net gain on foreign currency translation of foreign operations 0
0001193125-25-098257 3 33 IS 0 H Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations ifrs/2024 Net loss on valuation of hedges of net investments in foreign operations 0
0001193125-25-098257 3 34 IS 0 H Other Comprehensive Income Net Of Tax Cash Flow Hedges ifrs/2024 Net gain (loss) on valuation of cash flow hedge 0
0001193125-25-098257 3 35 IS 0 H Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax ifrs/2024 Items that may be reclassified to profit or loss 0
0001193125-25-098257 3 36 IS 0 H Other Comprehensive Income ifrs/2024 Other comprehensive income(loss), net of tax 0
0001193125-25-098257 3 37 IS 0 H Comprehensive Income ifrs/2024 Total comprehensive income 0
0001193125-25-098257 3 39 IS 0 H Profit Loss Attributable To Owners Of Parent ifrs/2024 Net income attributable to owners 0
0001193125-25-098257 3 40 IS 0 H Profit Loss Attributable To Noncontrolling Interests ifrs/2024 Net income attributable to non-controlling interests 0
0001193125-25-098257 3 42 IS 0 H Comprehensive Income Attributable To Owners Of Parent ifrs/2024 Comprehensive income attributable to owners 0
0001193125-25-098257 3 43 IS 0 H Other Comprehensive Income Attributable To Noncontrolling Interests ifrs/2024 Comprehensive income attributable to non-controlling interests 0
0001193125-25-098257 3 45 IS 0 H Basic Earnings Loss Per Share ifrs/2024 Basic earnings per share 0
0001193125-25-098257 3 46 IS 0 H Diluted Earnings Loss Per Share ifrs/2024 Diluted earnings per share 0
0001193125-25-098257 4 12 EQ 0 H Equity ifrs/2024 Balance at beginning 0
0001193125-25-098257 4 15 EQ 0 H Profit Loss ifrs/2024 Net income 0
0001193125-25-098257 4 16 EQ 0 H Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income ifrs/2024 Net gain(loss) on valuation of financial instruments at FVTOCI 0
0001193125-25-098257 4 17 EQ 0 H Reclassification Adjustments On Equity Due To Disposal Of Equity Securities Of Financial Assets Measured At Fair Value Through Other Comprehensive Income 0001193125-25-098257 Net gain (loss) due to disposal of equity securities at FVTOCI 0
0001193125-25-098257 5 83 CF 0 H Other Inflows Outflows Of Cash Classified As Financing Activities ifrs/2024 Net increase(decrease) of other liabilities 0
0001193125-25-098257 4 18 EQ 0 H Gain Loss On Designation Of Financial Instrument As Measured At Fair Value Through Profit Or Loss Because Credit Derivative Is Used To Manage Credit Risk ifrs/2024 Net gain on credit risk fluctuation of financial liabilities designated to be measured at FVTPL 0
0001193125-25-098257 4 19 EQ 0 H Share Of Other Comprehensive Income Of Associates And Joint Ventures Accounted For Using Equity Method ifrs/2024 Changes in capital due to equity method 0
0001193125-25-098257 4 20 EQ 0 H Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2024 Gain on foreign currency translation of foreign operations 0
0001193125-25-098257 4 21 EQ 0 H Other Comprehensive Income Net Of Tax Hedges Of Net Investments In Foreign Operations ifrs/2024 Loss on valuation of hedges of net investments in foreign operations 0
0001193125-25-098257 4 22 EQ 0 H Other Comprehensive Income Net Of Tax Cash Flow Hedges ifrs/2024 Gain on valuation of cash flow hedge 0
0001193125-25-098257 4 23 EQ 0 H Other Comprehensive Income Net Of Tax From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations 0001193125-25-098257 Capital related to non-current assets held for sale 0
0001193125-25-098257 4 24 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2024 Remeasurement gain(loss) related to defined benefit plan 0
0001193125-25-098257 4 26 EQ 0 H Increase Through Comprehensive Stock Exchange 0001193125-25-098257 Comprehensive stock exchange 0
0001193125-25-098257 4 27 EQ 0 H Dividends Paid Ordinary Shares ifrs/2024 Dividends to common stocks 1
0001193125-25-098257 4 28 EQ 0 H Increase Decrease Through Treasury Share Transactions ifrs/2024 Changes in treasury stocks 0
0001193125-25-098257 4 29 EQ 0 H Issuance Of Hybrid Securities 0001193125-25-098257 Issuance of hybrid securities 0
0001193125-25-098257 4 30 EQ 0 H Dividends To Hybrid Securities 0001193125-25-098257 Dividends to hybrid securities 0
0001193125-25-098257 4 31 EQ 0 H Redemption Of Hybrid Securities 0001193125-25-098257 Redemption of hybrid securities 0
0001193125-25-098257 4 32 EQ 0 H Increase Decrease Through Change In Equity Of Subsidiaries ifrs/2024 Changes in subsidiaries' capital 0
0001193125-25-098257 4 33 EQ 0 H Increase Decrease In Noncontrolling Interest Due To Business Combinations 0001193125-25-098257 Changes in non-controlling interests related to business combinations 0
0001193125-25-098257 4 34 EQ 0 H Increase Decrease Through Transfers And Other Changes Equity ifrs/2024 Others 0
0001193125-25-098257 4 35 EQ 0 H Equity ifrs/2024 Balance at end 0
0001193125-25-098257 5 2 CF 0 H Profit Loss ifrs/2024 Net income 0
0001193125-25-098257 5 4 CF 0 H Adjustments For Income Tax Expense ifrs/2024 Income tax expense 0
0001193125-25-098257 5 5 CF 0 H Adjustments For Interest Income ifrs/2024 Interest income 1
0001193125-25-098257 5 6 CF 0 H Adjustments For Interest Expense ifrs/2024 Interest expense 0
0001193125-25-098257 5 7 CF 0 H Adjustments For Dividend Income ifrs/2024 Dividend income 1
0001193125-25-098257 5 8 CF 0 H Adjustments For Reconcile Profit Loss ifrs/2024 Adjustments to net income (sub-total) 0
0001193125-25-098257 5 10 CF 0 H Adjustments For Loss On Valuation Of Financial Assets At Fair Value Through Profit Or Loss 0001193125-25-098257 Loss on financial instruments at FVTPL 0
0001193125-25-098257 5 11 CF 0 H Adjustments For Loss On Financial Assets Measured At Fair Value Through Other Comprehensive Income 0001193125-25-098257 Loss on financial assets at FVTOCI 0
0001193125-25-098257 5 12 CF 0 H Impairment Losses Recognised Due To Credit Loss 0001193125-25-098257 Impairment losses due to credit loss 0
0001193125-25-098257 5 13 CF 0 H Adjustments For Provisions ifrs/2024 Loss on other provisions 0
0001193125-25-098257 5 14 CF 0 H Adjustments For Postemployment Benefit Expense Defined Benefit Plans 0001193125-25-098257 Retirement benefit 0
0001193125-25-098257 5 15 CF 0 H Adjustments For Depreciation And Amortisation Expense ifrs/2024 Depreciation and amortization 0
0001193125-25-098257 5 16 CF 0 H Adjustments For Unrealised Foreign Exchange Losses Gains ifrs/2024 Net loss on foreign currency translation 0
0001193125-25-098257 5 17 CF 0 H Adjustments For Loss On Transaction And Change In Fair Value Of Derivatives 0001193125-25-098257 Loss on derivatives (designated for hedge) 0
0001193125-25-098257 5 18 CF 0 H Adjustments For Loss On Fair Value Hedged Items 0001193125-25-098257 Loss on fair value hedge 0
0001193125-25-098257 5 19 CF 0 H Adjustments For Loss On Valuation Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 0001193125-25-098257 Loss on valuation of investments in joint ventures and associates 0
0001193125-25-098257 5 20 CF 0 H Adjustments For Loss On Disposal Of Investment In Associates And Joint Ventures Accounted For Using Equity Method 0001193125-25-098257 Loss on disposal of investments in joint ventures and associates 0
0001193125-25-098257 5 21 CF 0 H Adjustments For Loss On Disposal Of Premises And Equipment And Other Assets 0001193125-25-098257 Loss on disposal of premises and equipment, intangible assets and other assets 0
0001193125-25-098257 5 22 CF 0 H Adjustments For Impairment Losses Of Property Plant And Equipment And Other Assets 0001193125-25-098257 Impairment loss on premises and equipment, intangible assets and other assets 0
0001193125-25-098257 5 23 CF 0 H Adjustment For Other Loss 0001193125-25-098257 Other loss 0
0001193125-25-098257 5 24 CF 0 H Adjustment For Miscellaneous Other Operating Expense 0001193125-25-098257 Other operating expenses 0
0001193125-25-098257 5 25 CF 0 H Additions Of Expenses Not Involving Cash Outflows 0001193125-25-098257 Additions of expenses not involving cash outflows (sub-total) 0
0001193125-25-098257 5 27 CF 0 H Adjustments For Gain On Valuation Of Financial Instruments At Fair Value Through Profit Or Loss In Accordance With I F R S9 0001193125-25-098257 Gain on financial assets at FVTPL 1
0001193125-25-098257 5 28 CF 0 H Adjustments For Gain On Financial Assets At Fair Value Through Other Comprehensive Income 0001193125-25-098257 Gain on financial assets at FVTOCI 1
0001193125-25-098257 5 29 CF 0 H Other Reversals Of Provisions ifrs/2024 Gain on other provisions 1
0001193125-25-098257 5 30 CF 0 H Adjustment For Foreign Currency Translation 0001193125-25-098257 Net profit on foreign currency translation 1
0001193125-25-098257 5 31 CF 0 H Adjustments For Gain On Transaction And Change In Fair Value Of Derivatives 0001193125-25-098257 Gain on derivatives (designated for hedge) 1
0001193125-25-098257 5 32 CF 0 H Adjustments For Gain On Fair Value Hedged Items 0001193125-25-098257 Gain on fair value hedge 1
0001193125-25-098257 5 84 CF 0 H Dividends Paid To Equity Holders Of Parent Classified As Financing Activities ifrs/2024 Dividends paid 1
0001193125-25-098257 5 33 CF 0 H Adjustments For Gain On Investment Of Associates And Joint Ventures Accounted For Using Equity Method 0001193125-25-098257 Gain on valuation of investments in joint ventures and associates 1
0001193125-25-098257 5 34 CF 0 H Adjustments For Gain On Disposal Of Investments In Associates And Joint Ventures 0001193125-25-098257 Gain on disposal of investments in joint ventures and associates 1
0001193125-25-098257 5 35 CF 0 H Adjustments For Gain On Disposal Of Premises And Equipment And Other Assets 0001193125-25-098257 Gain on disposal of premises and equipment, intangible assets and other assets 1
0001193125-25-098257 5 36 CF 0 H Adjustments For Reversal Of Impairment Loss On Premises And Equipment And Other Assets 0001193125-25-098257 Reversal of impairment loss on premises and equipment, intangible assets and other assets 1
0001193125-25-098257 5 37 CF 0 H Other Adjustments To Reconcile Profit Loss ifrs/2024 Other income 0
0001193125-25-098257 5 38 CF 0 H Deductions Of Income Not Involving Cash Inflows 0001193125-25-098257 Deductions of income not involving cash inflows (sub-total) 1
0001193125-25-098257 5 40 CF 0 H Adjustments For Decrease Increase In Financial Instruments At Fair Value Through Profit Or Loss In Accordance With I F R S9 0001193125-25-098257 Financial instruments at FVTPL 0
0001193125-25-098257 5 41 CF 0 H Adjustments For Decrease Increase In Loans And Other Financial Assets At Amortised Cost 0001193125-25-098257 Loans and other financial assets at amortized cost 0
0001193125-25-098257 5 42 CF 0 H Adjustments For Decrease Increase In Other Assets ifrs/2024 Other assets 0
0001193125-25-098257 5 43 CF 0 H Adjustments For Increase Decrease In Deposits From Customers ifrs/2024 Deposits due to customers 0
0001193125-25-098257 5 44 CF 0 H Changes In Other Provisions ifrs/2024 Provisions 1
0001193125-25-098257 5 45 CF 0 H Adjustments For Increase Decrease In Employee Benefit Liabilities ifrs/2024 Net defined benefit liability 0
0001193125-25-098257 5 46 CF 0 H Adjustments For Increase Decrease In Other Financial Liabilities ifrs/2024 Other financial liabilities 0
0001193125-25-098257 5 47 CF 0 H Adjustments For Increase Decrease In Other Liabilities ifrs/2024 Other liabilities 0
0001193125-25-098257 5 48 CF 0 H Increase Decrease In Working Capital ifrs/2024 Changes in operating assets and liabilities (sub-total) 1
0001193125-25-098257 5 50 CF 0 H Interest Received Classified As Operating Activities ifrs/2024 Interest income received 0
0001193125-25-098257 5 51 CF 0 H Interest Paid Classified As Operating Activities ifrs/2024 Interest expense paid 1
0001193125-25-098257 5 52 CF 0 H Dividends Received Classified As Operating Activities ifrs/2024 Dividends received 0
0001193125-25-098257 5 53 CF 0 H Income Taxes Paid Refund Classified As Operating Activities ifrs/2024 Income tax paid 1
0001193125-25-098257 5 54 CF 0 H Net Cash Received From Operating Activities 0001193125-25-098257 Cash received from operating activities (sub-total) 0
0001193125-25-098257 5 55 CF 0 H Cash Flows From Used In Operating Activities ifrs/2024 Net cash inflow(outflow) from operating activities 0
0001193125-25-098257 5 57 CF 0 H Cash Inflows And Outflow From Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 0001193125-25-098257 Net cash in-flows(out-flows) from obtaining control 1
0001193125-25-098257 5 58 CF 0 H Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 Net cash out-flows from losing control 0
0001193125-25-098257 5 59 CF 0 H Proceeds From Disposal Of Financial Assets At Fair Value Through Profit Or Loss 0001193125-25-098257 Disposal of financial instruments at FVTPL 0
0001193125-25-098257 5 60 CF 0 H Payments For Acquisition Of Financial Assets At Fair Value Through Profit Or Loss 0001193125-25-098257 Acquisition of financial instruments at FVTPL 1
0001193125-25-098257 5 61 CF 0 H Proceeds From Disposal Of Financial Assets At Fair Value Through Other Comprehensive Income 0001193125-25-098257 Disposal of financial assets at FVTOCI 0
0001193125-25-098257 5 62 CF 0 H Payments For Acquisition Of Financial Assets At Fair Value Through Other Comprehensive Income 0001193125-25-098257 Acquisition of financial assets at FVTOCI 1
0001193125-25-098257 5 63 CF 0 H Proceeds From Disposal Of Financial Assets At Amortised Cost 0001193125-25-098257 Redemption of securities at amortized cost 0
0001193125-25-098257 5 64 CF 0 H Payments For Acquisition Of Securities At Amortised Cost 0001193125-25-098257 Acquisition of securities at amortized cost 1
0001193125-25-098257 5 65 CF 0 H Cash Outflow From Changes In Subsidiaries 0001193125-25-098257 Cash outflows from changes in subsidiaries 1
0001193125-25-098257 5 66 CF 0 H Proceeds From Sales Of Investments Accounted For Using Equity Method ifrs/2024 Disposal of investments in joint ventures and associates 0
0001193125-25-098257 5 67 CF 0 H Purchase Of Interests In Investments Accounted For Using Equity Method ifrs/2024 Acquisition of investments in joint ventures and associates 1
0001193125-25-098257 5 68 CF 0 H Proceeds From Sales Of Investment Property ifrs/2024 Disposal of investment properties 0
0001193125-25-098257 5 69 CF 0 H Purchase Of Investment Property ifrs/2024 Acquisition of investment properties 1
0001193125-25-098257 5 70 CF 0 H Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 Disposal of premises and equipment 0
0001193125-25-098257 5 71 CF 0 H Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 Acquisition of premises and equipment 1
0001193125-25-098257 5 72 CF 0 H Proceeds From Sales Of Intangible Assets Classified As Investing Activities ifrs/2024 Disposal of intangible assets 0
0001193125-25-098257 5 73 CF 0 H Purchase Of Intangible Assets Classified As Investing Activities ifrs/2024 Acquisition of intangible assets 1
0001193125-25-098257 5 74 CF 0 H Proceeds From Disposal Of Noncurrent Assets Or Disposal Groups Classified As Held For Sale And Discontinued Operations ifrs/2024 Disposal of assets held for sale 0
0001193125-25-098257 5 75 CF 0 H Other Inflows Outflows Of Cash Classified As Investing Activities ifrs/2024 Net increase(decrease) of other assets 0
0001193125-25-098257 5 76 CF 0 H Cash Flows From Used In Investing Activities ifrs/2024 Net cash outflow from investing activities 0
0001193125-25-098257 5 78 CF 0 H Cash In Flows From Hedging Activities 0001193125-25-098257 Net cash in-flows(out-flows) from hedging activities 0
0001193125-25-098257 5 79 CF 0 H Proceeds And Repayments From Borrowings Classified As Financing Activities 0001193125-25-098257 Net increase(decrease) in borrowings 0
0001193125-25-098257 5 80 CF 0 H Proceeds From Issue Of Bonds Notes And Debentures ifrs/2024 Issuance of debentures 0
0001193125-25-098257 5 81 CF 0 H Repayments Of Bonds Notes And Debentures ifrs/2024 Redemption of debentures 1
0001193125-25-098257 5 82 CF 0 H Payments Of Lease Liabilities Classified As Financing Activities ifrs/2024 Redemption of lease liabilities 1
0001193125-25-098257 5 85 CF 0 H Issuance Of Hybrid Securities 0001193125-25-098257 Issuance of hybrid securities 0
0001193125-25-098257 5 86 CF 0 H Repayment Of Hybrid Securities 0001193125-25-098257 Redemption of hybrid securities 1
0001193125-25-098257 5 87 CF 0 H Dividends Paid On Hybrid Securities 0001193125-25-098257 Dividends paid on hybrid securities 1
0001193125-25-098257 5 88 CF 0 H Net Increase In Non Controlling Equity Liabilities 0001193125-25-098257 Net increase in non-controlling equity liabilities 0
0001193125-25-098257 5 89 CF 0 H Dividends Paid To Noncontrolling Interests Classified As Financing Activities ifrs/2024 Dividends paid to non-controlling interest 1
0001193125-25-098257 5 90 CF 0 H Capital Reduction For Noncontrolling Interests 0001193125-25-098257 Changes in non-controlling interests 1
0001193125-25-098257 5 91 CF 0 H Payments To Acquire Or Redeem Entitys Shares ifrs/2024 Acquisition of treasury stocks 1
0001193125-25-098257 5 92 CF 0 H Proceeds From Sale Or Issue Of Treasury Shares ifrs/2024 Disposal of treasury stocks 0
0001193125-25-098257 5 93 CF 0 H Cash Flows From Used In Financing Activities ifrs/2024 Net cash inflow (outflow) from financing activities 0
0001193125-25-098257 5 94 CF 0 H Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2024 Effects of exchange rate changes on cash and cash equivalents 0
0001193125-25-098257 5 95 CF 0 H Increase Decrease In Cash And Cash Equivalents ifrs/2024 Net increase (decrease) in cash and cash equivalents 0
0001193125-25-098257 5 96 CF 0 H Cash And Cash Equivalents ifrs/2024 Cash and cash equivalents, beginning of the period 0
0001193125-25-098257 5 97 CF 0 H Cash And Cash Equivalents ifrs/2024 Cash and cash equivalents, end of the period 0

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
report Represents the report grouping. This field corresponds to the statement (stmt) field, which indicates the type of statement. The numeric value refers to the “R file” as posted on the EDGAR Web site.
line Represents the tag’s presentation line order for a given report. Together with the statement and report field, presentation location, order and grouping can be derived.
stmt The financial statement location to which the value of the “report” field pertains.
inpth Value was presented “parenthetically” instead of in columns within the financial statements. For example: Receivables (net of allowance for bad debts of $200 in 2012) $700.
rfile The type of interactive data file rendered on the EDGAR web site, H = .htm file, X = .xml file.
tag The tag chosen by the filer for this line item.
version The taxonomy identifier if the tag is a standard tag, otherwise adsh.
plabel The text presented on the line item, also known as a “preferred” label.
negating Flag to indicate whether the plabel is negating.