Kearny Financial Corp.
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Kearny Financial Corp. (KRNY)

Solvency & Capital Structure

Total Debt

$1.15B

Net Debt

$70.8M

Kearny Financial Corp. currently has $1.15B in total debt. Net debt is $70.8M after cash offsets.

Financial Fundamentals

KRNYQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-06-301.151.080.077.6815.0%
2026-03-311.061.11-0.05Net Cash7.6113.9%
2025-12-311.091.15-0.05Net Cash7.6214.4%
2025-09-301.211.150.067.6515.8%
2025-06-301.261.180.087.7416.2%
2025-03-311.211.130.087.7315.7%
2024-12-311.261.160.107.7316.3%
2024-09-301.381.230.157.7717.8%
2024-06-301.611.140.477.6821.0%
2024-03-311.621.170.457.8420.7%
2023-12-311.671.220.457.9021.1%
2023-09-301.631.270.357.9720.4%
2023-06-301.511.300.218.0618.7%
2023-03-311.611.460.158.3519.3%
2022-12-311.511.360.158.2918.2%
2022-09-300.911.36-0.45Net Cash7.8911.5%
2022-06-300.901.45-0.54Net Cash7.7211.7%
2022-03-311.161.59-0.43Net Cash7.3915.7%
2021-12-310.691.65-0.97Net Cash7.199.5%
2021-09-300.721.71-0.98Net Cash7.1810.0%
2021-06-300.691.74-1.06Net Cash7.289.4%
2021-03-310.871.89-1.02Net Cash7.3611.8%
2020-12-310.871.83-0.96Net Cash7.3411.8%
2020-09-301.081.65-0.58Net Cash7.3114.7%
2020-06-301.171.57-0.39Net Cash6.7617.4%
2020-03-311.381.54-0.15Net Cash6.7720.4%
2019-12-311.281.44-0.17Net Cash6.6119.3%
2019-09-301.281.36-0.08Net Cash6.6419.3%
2019-06-301.320.750.576.6319.9%
2019-03-311.330.780.556.6619.9%
2018-12-311.310.720.596.7019.6%
2018-09-301.420.750.676.6621.3%
2018-06-301.200.850.346.5818.2%
2018-03-310.850.580.274.9317.3%
2017-12-310.800.540.264.8416.5%
2017-09-300.810.510.294.8116.8%
2017-06-300.810.690.114.8216.7%
2017-03-310.830.610.224.8017.2%
2016-12-310.700.440.274.5915.3%
2016-09-300.630.470.174.5214.0%
2016-06-300.610.590.034.5013.7%
2016-03-310.620.500.124.4913.8%
2015-12-310.620.530.094.4114.1%
2015-09-300.630.520.114.3014.6%
2015-06-300.570.76-0.19Net Cash4.2413.5%
2015-03-310.670.540.133.7118.0%
2014-12-310.560.520.053.5515.9%
2014-09-300.560.540.033.5316.0%
2014-06-300.510.54-0.03Net Cash3.5114.6%
2014-03-310.480.49-0.01Net Cash3.3714.3%
2013-12-310.400.45-0.05Net Cash3.2612.2%
2013-09-300.420.42-0.00Net Cash3.2412.9%
2013-06-300.290.43-0.14Net Cash3.159.1%
2013-03-310.180.35-0.16Net Cash2.876.4%
2012-12-310.240.200.042.908.4%
2012-09-300.250.190.062.928.6%
2012-06-300.250.170.082.948.5%
2012-03-310.250.110.142.918.5%
2011-12-310.240.150.092.868.3%
2011-09-300.250.29-0.04Net Cash2.918.5%
2011-06-300.250.220.032.908.5%
2011-03-310.250.210.052.898.8%
2010-12-310.260.130.122.888.9%
2010-09-300.210.120.092.388.8%
2010-06-300.210.180.032.349.0%
2010-03-310.210.110.102.259.3%
2009-12-310.210.200.012.209.5%
2009-09-300.210.120.092.169.7%
2009-06-300.210.21-0.00Net Cash2.129.9%
2009-03-310.210.170.042.1110.0%
2008-12-310.210.090.132.0610.5%
2008-09-300.220.080.142.0610.6%
2008-06-300.220.130.092.0810.5%
2008-03-310.220.150.072.0610.6%
2007-12-310.230.170.052.0311.2%
2007-09-300.130.13-0.00Net Cash1.956.6%
2007-06-300.030.16-0.13Net Cash1.921.5%
2007-03-310.060.28-0.22Net Cash2.013.0%
2006-12-310.060.29-0.23Net Cash2.022.8%
2006-09-300.060.23-0.17Net Cash2.033.0%
2006-06-300.060.23-0.17Net Cash2.013.0%
2006-03-310.060.28-0.22Net Cash2.033.0%
2005-12-310.060.07-0.01Net Cash2.063.0%
2005-09-300.060.09-0.02Net Cash2.083.0%
2005-06-300.060.14-0.08Net Cash2.112.9%
2005-03-310.080.16-0.08Net Cash2.054.0%
2004-12-310.080.040.041.894.3%
2004-06-300.190.040.151.949.7%