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Keppel Corporation Ltd
OTC:KPELF

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Keppel Corporation Ltd
OTC:KPELF
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Price: 10.02 USD Market Closed
Market Cap: $18.1B

Balance Sheet

Balance Sheet Decomposition
Keppel Corporation Ltd

Balance Sheet
Keppel Corporation Ltd

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Balance Sheet
Currency: SGD
Dec-2001 Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024
Assets
Cash & Cash Equivalents
737
815
748
973
1 411
1 619
329
418
447
1 225
1 024
2 543
3 939
2 588
618
438
590
779
844
1 211
1 977
658
431
1 717
Cash
737
815
748
973
1 411
1 619
329
418
447
1 225
1 024
2 543
3 939
2 588
618
438
590
779
844
1 211
1 977
658
431
1 717
Short-Term Investments
379
223
215
248
406
427
1 587
2 077
2 836
3 447
2 309
1 739
1 965
3 400
1 342
1 710
1 719
1 179
882
1 068
1 376
418
1 068
698
Total Receivables
1 653
1 783
1 134
1 399
1 380
1 681
2 098
2 154
1 822
1 700
2 076
2 350
2 953
3 140
3 575
7 964
7 049
6 207
6 810
5 682
5 930
1 757
2 357
2 232
Accounts Receivables
1 394
1 783
1 134
1 399
1 221
1 517
1 779
1 744
1 454
1 391
1 715
1 300
2 146
2 058
2 548
7 144
6 053
5 089
5 747
4 715
4 747
1 150
1 452
1 344
Other Receivables
259
0
0
0
159
164
319
410
368
309
361
1 050
807
1 082
1 027
821
996
1 118
1 063
967
1 183
607
905
888
Inventory
2 444
2 593
2 565
2 602
2 762
2 777
2 791
3 217
3 199
4 683
6 334
7 625
8 995
10 681
10 763
6 568
5 756
5 496
5 543
4 959
4 604
2 301
2 110
1 924
Other Current Assets
53
0
0
0
167
143
483
224
282
432
506
413
106
1 378
212
312
349
206
221
1 468
959
9 715
400
48
Total Current Assets
5 267
5 413
4 662
5 222
6 126
6 647
7 287
8 090
8 586
11 488
12 249
14 669
17 957
21 187
16 509
16 992
15 463
13 867
14 298
14 389
14 846
14 849
6 366
6 619
PP&E Net
2 420
2 578
1 705
1 402
1 653
1 741
1 698
1 873
2 157
2 243
2 716
3 337
3 798
2 673
2 846
2 645
2 433
2 373
3 662
3 298
2 574
1 218
1 116
4 452
PP&E Gross
2 420
0
0
0
1 653
1 741
1 698
1 873
2 157
2 243
2 716
3 337
3 798
2 673
2 846
0
0
2 373
3 662
3 298
2 574
1 218
1 116
4 452
Accumulated Depreciation
1 103
0
0
0
1 165
1 267
1 426
1 531
1 597
1 801
1 959
1 902
2 093
2 078
2 277
0
0
2 537
2 661
2 956
2 851
963
865
993
Intangible Assets
7
141
147
125
7
2
5
5
3
35
39
50
27
41
41
81
133
70
635
561
542
522
474
441
Goodwill
0
0
0
0
138
133
62
73
87
73
59
59
59
61
59
59
0
59
1 048
1 048
1 048
1 042
1 061
1 061
Note Receivable
85
57
10
85
153
161
135
198
548
29
0
139
279
258
389
814
604
679
1 656
1 756
1 130
392
4 553
467
Long-Term Investments
3 760
3 099
3 348
3 462
4 284
4 936
6 437
6 332
5 926
7 114
9 153
10 915
7 935
7 334
9 077
9 352
9 794
9 540
10 022
10 894
11 754
12 558
12 886
14 191
Other Long-Term Assets
196
188
211
203
228
197
173
176
0
0
267
0
0
0
0
0
0
0
0
159
430
483
383
428
Other Assets
0
0
0
0
138
133
62
73
87
73
59
59
59
61
59
59
0
59
1 048
1 048
1 048
1 042
1 061
1 061
Total Assets
11 720
N/A
11 476
-2%
10 083
-12%
10 500
+4%
12 589
+20%
13 816
+10%
15 797
+14%
16 746
+6%
17 307
+3%
20 981
+21%
24 483
+17%
29 171
+19%
30 056
+3%
31 555
+5%
28 921
-8%
29 944
+4%
28 426
-5%
26 588
-6%
31 322
+18%
32 106
+3%
32 323
+1%
31 065
-4%
26 838
-14%
27 658
+3%
Liabilities
Accounts Payable
1 558
2 201
1 747
1 803
1 191
1 239
1 345
1 892
1 668
1 617
1 915
942
829
942
734
701
833
602
1 345
1 083
1 049
442
505
455
Accrued Liabilities
45
0
0
0
475
856
1 494
1 791
2 122
2 323
2 853
2 587
2 278
2 158
2 307
2 993
3 316
2 626
2 652
2 401
2 994
1 829
1 723
1 805
Short-Term Debt
7
3
10
1
17
3
4
28
2
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
2 852
2 263
1 186
1 986
1 322
682
499
198
839
392
808
1 006
517
1 796
857
1 835
1 714
1 481
4 623
4 502
4 749
3 614
2 459
1 427
Other Current Liabilities
530
139
107
598
2 084
3 009
3 300
3 963
2 634
2 790
3 039
4 529
5 718
5 929
4 884
4 340
4 149
3 684
3 326
4 100
3 166
5 475
1 452
1 084
Total Current Liabilities
4 992
4 607
3 049
4 389
5 089
5 788
6 641
7 872
7 264
7 123
8 616
9 064
9 342
10 825
8 782
9 870
10 012
8 393
11 947
12 086
11 958
11 360
6 139
4 771
Long-Term Debt
2 402
2 439
2 593
1 712
2 392
2 272
1 732
1 745
918
3 676
4 069
6 202
6 583
5 587
7 402
7 218
6 079
6 068
7 034
8 101
7 268
6 766
8 680
10 646
Deferred Income Tax
212
256
180
149
174
158
389
381
412
459
607
326
442
266
373
331
325
188
399
444
427
368
412
420
Minority Interest
1 456
1 155
1 070
1 165
1 289
1 393
1 830
2 152
2 727
2 984
3 801
4 332
3 988
4 347
830
677
530
309
435
427
385
334
308
270
Other Liabilities
0
302
302
0
0
0
0
0
0
0
0
0
0
149
437
181
287
362
295
319
228
657
591
397
Total Liabilities
9 062
N/A
8 758
-3%
7 193
-18%
7 416
+3%
8 943
+21%
9 611
+7%
10 592
+10%
12 150
+15%
11 322
-7%
14 242
+26%
17 092
+20%
19 925
+17%
20 354
+2%
21 174
+4%
17 825
-16%
18 277
+3%
17 233
-6%
15 320
-11%
20 111
+31%
21 377
+6%
20 266
-5%
19 485
-4%
16 129
-17%
16 503
+2%
Equity
Common Stock
383
385
388
389
392
973
790
825
833
906
1 016
1 124
1 206
1 288
1 288
1 288
1 291
1 292
1 292
1 306
1 306
1 306
1 306
1 306
Retained Earnings
1 341
2 333
2 502
2 695
2 538
3 291
3 778
3 799
4 862
5 507
6 318
8 111
8 609
9 747
10 713
10 680
10 237
10 644
10 807
10 050
10 725
10 999
10 318
10 678
Additional Paid In Capital
955
0
0
0
720
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
0
0
0
0
0
0
438
37
232
370
199
182
192
103
73
126
100
70
17
47
50
61
208
332
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
49
49
16
0
45
14
14
5
456
387
96
Other Equity
20
0
0
0
4
59
198
64
59
44
143
171
305
708
930
411
435
692
856
661
80
208
319
400
Total Equity
2 658
N/A
2 718
+2%
2 890
+6%
3 084
+7%
3 646
+18%
4 205
+15%
5 205
+24%
4 596
-12%
5 985
+30%
6 740
+13%
7 390
+10%
9 246
+25%
9 701
+5%
10 381
+7%
11 096
+7%
11 668
+5%
11 192
-4%
11 268
+1%
11 211
-1%
10 728
-4%
12 057
+12%
11 580
-4%
10 709
-8%
11 156
+4%
Total Liabilities & Equity
11 720
N/A
11 476
-2%
10 083
-12%
10 500
+4%
12 589
+20%
13 816
+10%
15 797
+14%
16 746
+6%
17 307
+3%
20 981
+21%
24 483
+17%
29 171
+19%
30 056
+3%
31 555
+5%
28 921
-8%
29 944
+4%
28 426
-5%
26 588
-6%
31 322
+18%
32 106
+3%
32 323
+1%
31 065
-4%
26 838
-14%
27 658
+3%
Shares Outstanding
Common Shares Outstanding
1 685
1 694
1 705
1 713
1 724
1 734
1 744
1 752
1 754
1 766
1 784
1 798
1 808
1 812
1 811
1 816
1 818
1 812
1 816
1 818
1 820
1 752
1 762
1 806
Preferred Shares Outstanding
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0