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SHGShinhan Financial Group Co., Ltd.
$71.34$33.7B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
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Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksSHGQuarterly Balance Sheet

Shinhan Financial Group Co., Ltd. (SHG) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Shinhan Financial Group Co., Ltd. (SHG) quarterly balance sheet — complete assets, liabilities & equity history

SHG Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash & Short Term Investments144.99T27.68T147.05T137.15T137.86T135.48T135.83T123.86T123.34T126.08T122.28T122.64T121.76T116.54T103.21T97.09T95.86T119.94T93.86T86.1T
Cash & Due from Banks40.8T21.14T47.26T39.88T43.19T41.67T44.44T35.04T34.81T35.77T35.89T37.62T35.64T31.07T37.96T30.59T28.67T29.05T31.32T26.42T
Short Term Investments104.19T6.54T99.79T97.27T94.67T93.81T91.39T88.82T88.53T90.31T86.39T85.02T86.11T85.47T65.25T66.5T67.19T90.89T62.55T59.67T
Total Investments702.63T706.96T673.54T657.5T662.8T665.41T655.36T640.91T627.86T616.26T609.01T597.67T598.77T597.64T607.96T596.08T585.39T576.79T561.58T552.08T
Investments Growth %6.01%6.24%2.77%2.59%5.57%7.98%7.61%7.24%4.86%3.12%0.17%0.27%2.29%3.62%8.26%7.97%7.61%8.98%39.51%9.74%
Long-Term Investments598.44T700.43T573.75T560.24T568.13T571.61T563.97T552.09T539.33T525.95T522.62T512.64T512.66T512.17T542.71T529.58T518.21T485.9T499.03T492.41T
Accounts Receivables027.44T00013.61T00017.05T00011.49T000000
Goodwill & Intangibles5.99T5.89T5.91T5.96T6.06T6.12T6.14T6.18T6.19T6.22T0005.81T0005.64T00
Goodwill5.99T4.66T0004.67T0004.68T0004.68T0004.67T00
Intangible Assets01.24T5.91T5.96T6.06T1.45T6.14T6.18T6.19T1.54T0001.12T000974.65B00
PP&E (Net)4.17T6.04T3.98T4T4.11T4.16T4T3.97T3.97T6.05T3.95T3.89T4.04T5.94T3.97T3.97T4.13T4.05T3.94T3.99T
Other Assets59.2T52.27T52.22T45.11T29.8T3.85T35.22T41.36T36.74T5.65T34.75T31.39T31.3T7.18T39.66T46.22T42.41T25.49T36.18T37.93T
Total Current Assets148.7T21.14T147.08T137.19T137.93T153.82T135.87T123.9T123.37T147.78T122.31T122.67T121.78T132.41T103.23T97.11T95.87T120.66T93.88T86.11T
Total Non-Current Assets668.01T764.84T635.86T615.51T608.3T585.94T609.52T603.78T586.39T544.02T567.7T554.29T554.39T532.02T592.99T586.11T570.85T521.21T544.78T539.93T
Total Assets816.72T785.98T782.94T752.69T746.22T739.76T745.4T727.68T709.76T691.8T690.01T676.97T676.18T664.43T696.22T683.23T666.73T641.86T638.66T626.04T
Asset Growth %9.45%6.25%5.04%3.44%5.14%6.93%8.03%7.49%4.97%4.12%-0.89%-0.92%1.42%3.52%9.01%9.13%7.76%6.05%7.91%8.25%
Return on Assets (ROA)0.2%0.07%0.19%0.21%0.2%0.05%0.18%0.2%0.19%0.08%0.17%0.18%0.21%0.05%0.24%0.19%0.21%0.07%0.18%0.2%
Accounts Payable029.03T00015.14T00018.92T00012.34T00014.04T00
Total Debt145.3T154.21T144.64T144.44T141.16T150.26T145.22T144.49T140.03T143.78T133.22T124.67T127.59T128.72T137.62T131.25T125.48T134.68T120T119.38T
Net Debt104.5T133.07T97.38T104.55T97.97T108.59T100.77T109.45T105.22T108.02T97.33T87.05T91.95T97.65T99.66T100.66T96.8T105.63T88.69T92.96T
Long-Term Debt132.87T75.99T131.88T129.76T130.45T137.8T130.81T128.15T124.17T125.82T119.53T114.03T116.33T118.5T127.12T121.12T114.36T123.32T108.59T108.46T
Short-Term Debt12.43T77.71T12.76T14.67T10.71T11.57T14.4T16.34T15.86T17.35T13.69T10.64T11.27T9.59T10.5T10.13T11.12T10.75T11.42T10.92T
Other Liabilities138.33T575.26T138.14T121.6T119.57T76.3T117.36T115.78T110.45T74.59T106.03T100.09T103.67T69.16T120.92T119.68T115.46T64.39T111.48T103.45T
Total Current Liabilities483.23T77.71T451.74T440.48T436.45T464.88T437.93T425.64T417.83T433.24T407.37T406.26T399.85T421.28T397.31T392.71T387.19T402.33T368.84T365.28T
Total Non-Current Liabilities272.02T652.65T270.62T252.01T250.42T216.06T248.7T244.44T235.16T202.24T226.23T214.67T220.53T189.73T248.06T240.82T230T189.31T220.4T212.29T
Total Liabilities755.24T730.36T722.36T692.5T686.87T680.94T686.63T670.08T652.99T635.47T633.6T620.94T620.38T611.01T645.37T633.53T617.19T591.65T589.24T577.58T
Total Equity61.47T55.62T60.58T60.2T59.35T58.82T58.77T57.6T56.77T56.32T56.42T56.03T55.8T53.42T50.85T49.7T49.53T50.22T49.42T48.47T
Equity Growth %3.58%-5.44%3.08%4.5%4.55%4.44%4.17%2.81%1.74%5.43%10.94%12.74%12.64%6.39%2.91%2.54%5.97%8.32%7.59%12.82%
Equity / Assets (Capital Ratio)7.53%7.08%7.74%8%7.95%7.95%7.88%7.92%8%8.14%8.18%8.28%8.25%8.04%7.3%7.27%7.43%7.82%7.74%7.74%
Return on Equity (ROE)2.77%0.88%2.36%2.59%2.52%0.69%2.23%2.49%2.34%0.98%2.12%2.21%2.54%0.63%3.23%2.62%2.78%0.92%2.28%2.63%
Book Value per Share127425.70116565.76125114.87123500.23119751.62117910.90116604.28112597.04110961.63109842.10109173.54107609.29106248.80101282.2695871.7293654.1092749.8594024.1592525.8590748.29
Tangible BV per Share115002.77104215.71112915.98111269.41107520.19105642.67104415.82100519.2598853.2197715.51109173.54107609.29106248.8090271.5695871.7293654.1092749.8583454.8992525.8590748.29
Common Stock2.7T2.7T2.7T2.7T2.7T2.7T2.97T2.7T2.7T2.7T2.7T2.7T2.61T2.61T2.61T2.61T2.61T2.97T2.61T2.61T
Additional Paid-in Capital2.23T12.1T12.1T12.1T12.09T12.09T12.09T12.09T12.09T12.09T12.09T12.09T12.1T12.1T12.1T12.1T12.1T12.1T12.1T12.1T
Retained Earnings52.02T41.79T41.62T40.51T40.2T39.02T39.23T38.25T37.15T36.39T36.25T35.48T34.71T33.96T33.42T32.08T31.16T31.14T30.25T29.34T
Accumulated OCI-2.11T-2.47T1.18T-2.62T-2.36T-1.82T-2.04T-1.97T-1.65T-1.07T-1.04T-1.2T-1.09T-1.91T-3.6T-3.15T-2.17T-905.22B-818.85B-847.77B
Treasury Stock0-1.18T000000000000000000
Preferred Stock274.06B274.06B274.06B274.06B274.06B274.06B274.06B274.06B274.06B274.06B274.06B274.06B361.46B361.46B361.46B361.46B361.46B361.46B361.46B361.46B