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Investments in associates - Condensed statement of financial position and comprehensive income information of associates (Details) - KRW (₩)
₩ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets ₩ 786,013,485 ₩ 739,764,256  
Liabilities 725,641,161 680,943,223  
Operating revenue 64,681,960 74,064,279 ₩ 61,332,629
Profit (loss) 5,084,519 4,558,170 4,478,000
Other comprehensive income (loss) (653,514) (745,665) 844,389
Total comprehensive income (loss) 4,431,005 3,812,505 ₩ 5,322,389
BNP Paribas Cardif Life Insurance      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 2,610,512 2,714,143  
Liabilities 2,367,134 2,471,042  
Operating revenue 47,048 57,764  
Profit (loss) (14,043) (22,798)  
Other comprehensive income (loss) 0 3,917  
Total comprehensive income (loss) (14,043) (18,881)  
Shinhan-Neoplux Energy Newbiz Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 45,420 52,550  
Liabilities 4,290 6,398  
Operating revenue 5,216 26,255  
Profit (loss) (5,022) 1,591  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (5,022) 1,591  
Shinhan-Albatross Tech Investment Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 11,342 17,575  
Liabilities 11 229  
Operating revenue 2,990 17,168  
Profit (loss) (1,978) (1,666)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,978) (1,666)  
VOGO Debt Strategy Qualified IV Private      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 9,193 18,573  
Liabilities 4 8  
Operating revenue 1,503 5,810  
Profit (loss) (60) 3,229  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (60) 3,229  
Shinhan-Midas Donga Secondary Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 3,417 6,304  
Liabilities 0 0  
Operating revenue 1 868  
Profit (loss) (1,056) (797)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,056) (797)  
ShinHan – Soo Young Entrepreneur Investment Fund No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 7,369 14,244  
Liabilities 103 157  
Operating revenue 294 30,591  
Profit (loss) (1,238) 17,828  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,238) 17,828  
Shinhan Praxis K-Growth Global Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 26,081 26,087  
Liabilities 1 6  
Operating revenue 16 18  
Profit (loss) 0 (14)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 (14)  
Kiwoom Milestone Professional Private Real Estate Trust 19      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 101 0  
Liabilities 36,920 39,013  
Operating revenue 8,575 6,701  
Profit (loss) 2,194 3,188  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,194 3,188  
Shinhan Global Healthcare Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 38 39  
Liabilities 3,507 4,925  
Operating revenue 1 0  
Profit (loss) 0 (1)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 (1)  
KB NA Hickory Private Special Asset Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   51,721  
Liabilities   5,072  
Operating revenue   15,337  
Profit (loss)   (1,158)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (1,158)  
Koramco Europe Core Private Placement Real Estate Fund No.2-2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,162 17,260  
Liabilities 1,837 1,779  
Operating revenue 8,323 (1,381)  
Profit (loss) (1,404) (10,599)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,404) (10,599)  
Shinhan-Nvestor Liquidity Solution Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 15,085 20,841  
Liabilities 121 270  
Operating revenue 2,301 2,354  
Profit (loss) (590) 1,236  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (590) 1,236  
Shinhan AIM FoF Fund 1-A      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 2 39,244  
Liabilities 0 30  
Operating revenue 55 12,872  
Profit (loss) 40 5,353  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 40 5,353  
IGIS Global Credit Fund 150-1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 3,976 19,966  
Liabilities 3 12  
Operating revenue (4,034) 5,917  
Profit (loss) (4,068) 5,008  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (4,068) 5,008  
Nomura-Rifa Private Real Estate Investment Trust 19      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,237    
Liabilities 12,519    
Operating revenue (9,928)    
Profit (loss) (11,027)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) (11,027)    
Genesis North America Power Company No.1 PEF      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 13,881 15,514  
Liabilities 35 0  
Operating revenue 10,658 7,299  
Profit (loss) 1,193 7,018  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,193 7,018  
SH MAIN Professional Investment Type Private Mixed Asset Investment Trust No.3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   40,375  
Liabilities   81  
Operating revenue   28,764  
Profit (loss)   28,406  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   28,406  
Korea Finance Security Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 41,108 36,984  
Liabilities 15,296 13,230  
Operating revenue 47,822 46,929  
Profit (loss) 2,059 1,991  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,059 1,991  
MIEL Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 423 423  
Liabilities 565 565  
Operating revenue 0 0  
Profit (loss) 0 0  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 0  
AIP Transportation Specialized Privately Placed Fund Trust #1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 175,881 165,492  
Liabilities 178 885  
Operating revenue 89,236 (88,843)  
Profit (loss) 6,883 (152,566)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 6,883 (152,566)  
Kiwoom-Shinhan Innovation Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 15,849 16,166  
Liabilities 341 209  
Operating revenue 2 469  
Profit (loss) (450) 253  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (450) 253  
Samchully Midstream Private Placement Special Asset Fund 5-4      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 83,898 94,792  
Liabilities 25 30  
Operating revenue 15,930 22,021  
Profit (loss) (6,398) 9,371  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (6,398) 9,371  
Vestas Qualified Investors Private Real Estate Fund Investment Trust No.37      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 53,514 59,045  
Liabilities 35 23  
Operating revenue 7,454 11,969  
Profit (loss) (2,747) 2,925  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (2,747) 2,925  
Milestone Private Real Estate Fund 3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 82,313 59,637  
Liabilities 15,952 0  
Operating revenue 19,404 1,297  
Profit (loss) 1,145 (10,711)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,145 (10,711)  
Nomura-Rifa Private Real Estate Investment Trust 31      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 90,451 92,219  
Liabilities 71,014 71,961  
Operating revenue 9,498 43,830  
Profit (loss) (508) 32,959  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (508) 32,959  
SH Senior Loan Professional Investment Type Private Mixed Asset Investment Trust No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   11,845  
Liabilities   6  
Operating revenue   1,183  
Profit (loss)   1,265  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   1,265  
FuturePlay-Shinhan TechInnovation Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 12,764 11,855  
Liabilities 160 285  
Operating revenue 1,201 2,219  
Profit (loss) 1,034 (1,648)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,034 (1,648)  
Stonebridge Corporate 1st Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   9,016  
Liabilities   1  
Operating revenue   0  
Profit (loss)   (373)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (373)  
Vogo Realty Partners Private Real Estate Fund V      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 47,579 49,374  
Liabilities 115 96  
Operating revenue 14,350 5,403  
Profit (loss) (767) (6,973)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (767) (6,973)  
Korea Credit Bureau      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 156,968 153,079  
Liabilities 44,319 68,920  
Operating revenue 195,322 172,186  
Profit (loss) 29,489 9,791  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 29,489 9,791  
Goduck Gangil1 PFV Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 6,399 9,794  
Liabilities 330 542  
Operating revenue (134) 85,798  
Profit (loss) (769) 6,326  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (769) 6,326  
SBC PFV Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,517,864 1,315,956  
Liabilities 1,338,087 1,125,532  
Operating revenue (1,093) 4  
Profit (loss) (10,648) (7,622)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (10,648) (7,622)  
NH-amundi global infra private fund 16      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 55,639 72,552  
Liabilities 40 6,617  
Operating revenue 41,577 84,498  
Profit (loss) (18,770) 38,998  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (18,770) 38,998  
Sparklabs-Shinhan Opportunity Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   5,505  
Liabilities   0  
Operating revenue   25  
Profit (loss)   (2,405)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (2,405)  
IGIS Real-estate Private Investment Trust No.33      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 93,022 93,113  
Liabilities 65,050 54,852  
Operating revenue 10,378 5,709  
Profit (loss) 3,631 2,863  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 3,631 2,863  
Goduck Gangil10 PFV Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   31,122  
Liabilities   144  
Operating revenue   59,353  
Profit (loss)   6,350  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   6,350  
Fidelis Global Private Real Estate Trust No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 753 748  
Liabilities 62 57  
Operating revenue 1 (1)  
Profit (loss) 0 (2)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 (2)  
AIP EURO PRIVATE REAL ESTATE TRUST No. 12      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 58,792 145,170  
Liabilities 74 59,302  
Operating revenue 130 (7,077)  
Profit (loss) 0 (10,179)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 (10,179)  
Shinhan Global Healthcare Fund 2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 31    
Liabilities 183    
Operating revenue 1    
Profit (loss) 0    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 0    
Shinhan AIM Real Estate Fund No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   6,641  
Liabilities   1,461  
Operating revenue   123,427  
Profit (loss)   (89,613)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (89,613)  
Shinhan AIM Real Estate Fund No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 32,433 14,604  
Liabilities 1,479 877  
Operating revenue 224,439 164,469  
Profit (loss) 17,230 (245,607)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 17,230 (245,607)  
SH Daegu Green Power Cogeneration System Professional Investment Type Private Special Asset Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 178,424 179,396  
Liabilities 70 52  
Operating revenue 29,854 22,204  
Profit (loss) 2,906 25,277  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,906 25,277  
SH Sangju YC Expressway Professional Investment Type Private Special Asset Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 68,261 75,611  
Liabilities 492 426  
Operating revenue 0 11,878  
Profit (loss) (7,455) 6,489  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (7,455) 6,489  
SH Global Infrastructure Professional Investment Type Private Special Asset Investment Trust No.7-2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 21,968 22,106  
Liabilities 28 29  
Operating revenue 460 2,581  
Profit (loss) 592 2,283  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 592 2,283  
Korea Omega-Shinhan Project Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 10,725 38,945  
Liabilities 0 0  
Operating revenue 70,333 19,657  
Profit (loss) 35,586 19,599  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 35,586 19,599  
Samsung SRA Real Estate Professional Private 45      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 146,093 139,222  
Liabilities 29,969 18,119  
Operating revenue 14,647 (11,232)  
Profit (loss) 6,568 (11,358)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 6,568 (11,358)  
IBK Global New Renewable Energy Special Asset Professional Private2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 96,818 114,189  
Liabilities 51 0  
Operating revenue 17,251 (4,160)  
Profit (loss) 2,605 (32,244)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,605 (32,244)  
VS Cornerstone Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   8,085  
Liabilities   254  
Operating revenue   0  
Profit (loss)   (134)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (134)  
NH-Amundi US Infrastructure Private Fund2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   2,100  
Liabilities   1  
Operating revenue   107  
Profit (loss)   6,423  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   6,423  
Kakao-Shinhan 1st TNYT Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 49,061 48,793  
Liabilities 98 96  
Operating revenue 647 12,387  
Profit (loss) 263 7,840  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 263 7,840  
Pacific Private Placement Real Estate Fund No. 40      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 175,099 145,794  
Liabilities 98,060 98,798  
Operating revenue 110,276 4,270  
Profit (loss) 33,061 3,022  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 33,061 3,022  
Mastern Private Real Estate Loan Fund No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   3,977  
Liabilities   14  
Operating revenue   627  
Profit (loss)   590  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   590  
LB Scotland Amazon Fulfillment Center Fund 29      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 35,411 29,223  
Liabilities 123 227  
Operating revenue 27,397 3,917  
Profit (loss) (3,480) (16,566)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (3,480) (16,566)  
JR AMC Hungary Budapest Office Fund 16      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 43,087 42,031  
Liabilities 1,914 1,543  
Operating revenue 12,442 858  
Profit (loss) 123 858  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 123 858  
EDNCENTRAL Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   122,357  
Liabilities   200,291  
Operating revenue   (35,285)  
Profit (loss)   (70,591)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (70,591)  
Gyeonggi-Neoplux Superman Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 19,336 20,711  
Liabilities 0 1,697  
Operating revenue 6,251 716  
Profit (loss) 322 (4,218)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 322 (4,218)  
NewWave 6th Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 33,577 36,572  
Liabilities 791 878  
Operating revenue 2,485 9,185  
Profit (loss) (2,907) (5,276)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (2,907) (5,276)  
Neoplux No. 3 Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 111,356 129,055  
Liabilities 9,271 7,532  
Operating revenue 35,272 1,307  
Profit (loss) (19,230) (64,247)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (19,230) (64,247)  
PCC Amberstone Private Equity Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 38,558 67,099  
Liabilities 1,561 0  
Operating revenue 5,875 17,359  
Profit (loss) (305) 12,898  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (305) 12,898  
KIAMCO POWERLOAN TRUST 4TH      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 98,813 102,831  
Liabilities 13 13  
Operating revenue 5,028 8,143  
Profit (loss) 1,885 12,529  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,885 12,529  
Mastern Opportunity Seeking Real Estate Fund II      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 5,738 25,087  
Liabilities 0 1,362  
Operating revenue 29,833 12,764  
Profit (loss) 3,745 (13,478)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 3,745 (13,478)  
Neoplux Market-Frontier Secondary Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 28,177 41,423  
Liabilities 0 2  
Operating revenue 1,416 13,712  
Profit (loss) (13,237) 8,889  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (13,237) 8,889  
Synergy Green New Deal 1st New Technology Business Investment Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   38,542  
Liabilities   0  
Operating revenue   2,578  
Profit (loss)   2,180  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   2,180  
KIAMCO Vietnam Solar Special Asset Private Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 13,927 14,267  
Liabilities 124 62  
Operating revenue 3,165 4,527  
Profit (loss) (402) 1,697  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (402) 1,697  
SHINHAN-NEO Core Industrial Technology Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,560 16,704  
Liabilities 288 400  
Operating revenue 264 21,363  
Profit (loss) (2,032) 7,522  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (2,032) 7,522  
SHBNPP Green New Deal Energy Professional Investment Type Private Special Asset Investment Trust No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 67,224 72,396  
Liabilities 29 31  
Operating revenue 2,943 3,173  
Profit (loss) 3,207 2,973  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 3,207 2,973  
Shinhan Healthcare Fund 2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   31  
Liabilities   183  
Operating revenue   1  
Profit (loss)   0  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   0  
Eum Private Equity Fund No.7      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 45,410 43,608  
Liabilities 6 4  
Operating revenue 10,561 2,427  
Profit (loss) 3,729 1,857  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 3,729 1,857  
Kiwoom Hero No.4 Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   19,934  
Liabilities   0  
Operating revenue   3,624  
Profit (loss)   4,042  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   4,042  
Timefolio The Venture-V second      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   6,589  
Liabilities   3  
Operating revenue   2,744  
Profit (loss)   31  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   31  
Shinhan Smilegate Global PEF I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   27,798  
Liabilities   475  
Operating revenue   (18,714)  
Profit (loss)   (19,824)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (19,824)  
Genesis Eco No.1 PEF      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 30,863 38,654  
Liabilities 623 469  
Operating revenue 0 0  
Profit (loss) (7,946) (490)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (7,946) (490)  
SHINHAN-NEO Market-Frontier 2nd Fund       
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 59,139 65,802  
Liabilities 1,485 1,402  
Operating revenue 11,056 11,931  
Profit (loss) 2,653 691  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,653 691  
J& Moorim Jade Investment Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   21,508  
Liabilities   0  
Operating revenue   1,862  
Profit (loss)   1,740  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   1,740  
Ulmus SHC innovation investment fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 23,322 17,910  
Liabilities 0 0  
Operating revenue 5,587 207  
Profit (loss) 5,416 (366)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 5,416 (366)  
T Core Industrial Technology 1st Venture PEF      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 9,715 9,541  
Liabilities 3 23  
Operating revenue 198 206  
Profit (loss) 194 (2,800)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 194 (2,800)  
TI First Property Private Investment Trust 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 2,272 7,776  
Liabilities 21 21  
Operating revenue 5,173 4,139  
Profit (loss) 5,115 507  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 5,115 507  
Kiwoom-Shinhan Innovation Fund 2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 29,907 23,991  
Liabilities 325 129  
Operating revenue 14,854 429  
Profit (loss) 14,519 (200)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 14,519 (200)  
ETRI Holdings-Shinhan 1st Unicorn Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 8,247 9,391  
Liabilities 0 0  
Operating revenue 11 7  
Profit (loss) (144) (197)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (144) (197)  
SJ ESG Innovative Growth Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   10,941  
Liabilities   39  
Operating revenue   1  
Profit (loss)   (3,791)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (3,791)  
AVES 1st Corporate Recovery Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 6,220 6,131  
Liabilities 316 194  
Operating revenue 0 0  
Profit (loss) (33) (321)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (33) (321)  
JS Shinhan Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 163,377 165,748  
Liabilities 724 1  
Operating revenue (1,555) (39,164)  
Profit (loss) (3,091) (40,720)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (3,091) (40,720)  
Meta TB ESG Private Equity Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 20,410 20,742  
Liabilities 0 0  
Operating revenue 8 23  
Profit (loss) (332) (321)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (332) (321)  
Shinhan VC tomorrow venture fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 261,781 180,741  
Liabilities 2,992 2,474  
Operating revenue 89,255 19,038  
Profit (loss) 74,939 (467)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 74,939 (467)  
H-IOTA Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   38,306  
Liabilities   517  
Operating revenue   10,346  
Profit (loss)   10,044  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   10,044  
Stonebridge-Shinhan Unicorn Secondary Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 50,970 52,230  
Liabilities 672 0  
Operating revenue 6,450 71  
Profit (loss) 5,755 (6)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 5,755 (6)  
Tres-Yujin Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 26,592 26,264  
Liabilities 301 202  
Operating revenue 233 5,347  
Profit (loss) 230 5,344  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 230 5,344  
Shinhan-Time mezzanine blind Fund       
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   32,851  
Liabilities   0  
Operating revenue   4,901  
Profit (loss)   4,613  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   4,613  
Capstone REITs No.26      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 50,974 51,536  
Liabilities 40,837 40,798  
Operating revenue 147 914  
Profit (loss) (600) (761)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (600) (761)  
JB Incheon-Bucheon REITS No.54      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,729 12,639  
Liabilities 11 5  
Operating revenue 2,109 0  
Profit (loss) 2,081 (29)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,081 (29)  
Hankook Smart Real Asset Investment Trust No.3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 6,352 18,083  
Liabilities 103 66  
Operating revenue 7,701 0  
Profit (loss) (7,225) (4,986)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (7,225) (4,986)  
JB Hwaseong-Hadong REITs No.53      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 2,559 16,034  
Liabilities 3 5  
Operating revenue 3,293 0  
Profit (loss) 3,268 (29)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 3,268 (29)  
KB Oaktree Trust No.3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 28,742 29,674  
Liabilities 798 9  
Operating revenue 10,358 7,074  
Profit (loss) 1,632 2,749  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,632 2,749  
KAI-The Square Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 85    
Liabilities 62    
Operating revenue 98    
Profit (loss) 63    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 63    
SH Real Estate Loan Investment Type Private Real Estate Investment Trust No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 106,145 177,733  
Liabilities 30 143  
Operating revenue 7,492 12,600  
Profit (loss) 10,565 9,210  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 10,565 9,210  
Shinhan JigaeNamsan Road Private Special Asset Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 162,241 159,621  
Liabilities 84 83  
Operating revenue 6,497 6,948  
Profit (loss) 6,245 (2,604)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 6,245 (2,604)  
KDBC-Midas Dong-A Global contents Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   11,416  
Liabilities   62  
Operating revenue   4  
Profit (loss)   (7,080)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (7,080)  
KB Distribution Private Real Estate 3-1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 2 64,261  
Liabilities 100 50  
Operating revenue (100) 5,118  
Profit (loss) (2,603) 5,118  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (2,603) 5,118  
Pacific Private Investment Trust No.49-1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 46,448 40,988  
Liabilities 184 5,671  
Operating revenue 16,845 (1,819)  
Profit (loss) 10,946 (2,852)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 10,946 (2,852)  
KIWOOM Real estate private placement fund for normal investors No. 31      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 4 13,403  
Liabilities 77 17  
Operating revenue (34) 1,669  
Profit (loss) (50) 1,604  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (50) 1,604  
RIFA Real estate private placement fund for normal investors No. 51      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 19 13,461  
Liabilities 47 33  
Operating revenue 4,756 153  
Profit (loss) (5) 140  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (5) 140  
Shinhan-Kunicorn first Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 20,102 24,603  
Liabilities 0 7  
Operating revenue 2 7  
Profit (loss) (4,498) (527)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (4,498) (527)  
Shinhan-Quantum Startup Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 11,281 11,519  
Liabilities 0 0  
Operating revenue 29 61  
Profit (loss) (238) (246)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (238) (246)  
Shinhan Simone Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 3,917 8,901  
Liabilities 27 3  
Operating revenue 199 206  
Profit (loss) 94 (1,098)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 94 (1,098)  
Korea Investment develop seed Trust No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 26,936 25,407  
Liabilities 111 45  
Operating revenue 3,244 3,987  
Profit (loss) 2,780 3,881  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,780 3,881  
Tiger Green alpha Trust No.29      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   31,545  
Liabilities   53  
Operating revenue   2,345  
Profit (loss)   2,187  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   2,187  
STIC ALT Global II Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 45,262 45,398  
Liabilities 216 129  
Operating revenue 4,458 3,073  
Profit (loss) 777 2,548  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 777 2,548  
DDI LVC Master Real Estate Investment Trust Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 30,991 38,594  
Liabilities 9 8  
Operating revenue (3) (60)  
Profit (loss) (7,607) (5,340)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (7,607) (5,340)  
Reverent Frontier Private Equity Fund IV Specializing in Start-up Venture Business      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   8,758  
Liabilities   75  
Operating revenue   0  
Profit (loss)   (5,109)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (5,109)  
Find-Green New Deal 2nd Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 20,984 19,201  
Liabilities 47 47  
Operating revenue 1,932 28  
Profit (loss) 1,781 (625)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,781 (625)  
ShinhanFitrin 1st Technology Business Investment Association      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 24,396 26,243  
Liabilities 64 68  
Operating revenue 688 2,869  
Profit (loss) (1,843) 2,445  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,843) 2,445  
Koramco Private Real Estate Fund 143      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 26,771 22,055  
Liabilities 65 44  
Operating revenue 4,706 15  
Profit (loss) 4,696 7  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 4,696 7  
Korea Investment Top Mezzanine Private Real Estate Trust No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 13,706 44,605  
Liabilities 26 165  
Operating revenue 1,336 3,876  
Profit (loss) (5,108) 3,845  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (5,108) 3,845  
LB YoungNam Logistics Private Trust No.40      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 38,857 38,510  
Liabilities 10 10  
Operating revenue 2,937 1,794  
Profit (loss) 2,748 1,771  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,748 1,771  
Shinhan-Cognitive Start-up Fund L.P.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 12,933 12,844  
Liabilities 277 0  
Operating revenue 1,534 4,046  
Profit (loss) (189) 2,657  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (189) 2,657  
Cornerstone J&M Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   12,849  
Liabilities   47  
Operating revenue   1  
Profit (loss)   (278)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (278)  
Logisvalley Shinhan REIT Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 78,074 78,877  
Liabilities 55,469 55,563  
Operating revenue 3,874 3,872  
Profit (loss) (710) (1,031)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (710) (1,031)  
Shinhan-G.N.Tech Smart Innovation Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 21,948 26,008  
Liabilities 0 0  
Operating revenue 7,129 1,395  
Profit (loss) 4,260 984  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 4,260 984  
Shinhan-Gene and New Normal First Mover Venture Investment Equity Fund 1st      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 16,757 13,899  
Liabilities 373 383  
Operating revenue 7 8  
Profit (loss) (732) (420)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (732) (420)  
Korea Investment Green Newdeal Infra Trust No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 62,377 57,567  
Liabilities 27 25  
Operating revenue (217) 0  
Profit (loss) (268) (441)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (268) (441)  
BTS 2nd Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 42,226 39,434  
Liabilities 157 359  
Operating revenue 0 527  
Profit (loss) (104) 81  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (104) 81  
NH-J&-IBKC Label Technology Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 30,499 35,111  
Liabilities 721 425  
Operating revenue 15,844 6  
Profit (loss) 14,495 (363)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 14,495 (363)  
Hanyang Time Mezzanine Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   8,790  
Liabilities   0  
Operating revenue   270  
Profit (loss)   (703)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (703)  
Shinhan-isquare Venture PEF 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 8,296 10,655  
Liabilities 42 63  
Operating revenue 7 0  
Profit (loss) (155) (372)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (155) (372)  
Capstone Develop Frontier Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   37,644  
Liabilities   81  
Operating revenue   4,987  
Profit (loss)   4,906  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   4,906  
Nextrade Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 135,357 123,829  
Liabilities 14,107 2,579  
Operating revenue 67,843 (12,517)  
Profit (loss) 0 (34,855)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 (34,855)  
IBKC-Behigh Fund 1st      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 10,414 10,629  
Liabilities 0 0  
Operating revenue 17 26  
Profit (loss) (215) (198)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (215) (198)  
Digital New Deal Kappa Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   19,178  
Liabilities   0  
Operating revenue   0  
Profit (loss)   (396)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (396)  
ON No.1 Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   19,991  
Liabilities   0  
Operating revenue   1,628  
Profit (loss)   1,369  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   1,369  
SH BNCT Professional Investment Type Private Special Asset Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 284,142 311,321  
Liabilities 0 0  
Operating revenue 2,900 3,086  
Profit (loss) 13,568 17,396  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 13,568 17,396  
IBKCJS New Technology Fund No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   8,901  
Liabilities   0  
Operating revenue   2,523  
Profit (loss)   (3,720)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (3,720)  
DS-Shinhan-JBWoori New Media New Technology Investment Fund No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 34,374 46,301  
Liabilities 0 0  
Operating revenue 9,567 9  
Profit (loss) 8,728 (753)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 8,728 (753)  
VOGO Debt Strategy General Private Real Estate Investment Trust No. 18      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 35,558 39,658  
Liabilities 21 24  
Operating revenue 4,694 9,617  
Profit (loss) 2,608 5,184  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,608 5,184  
Koramco IPO REITS Mezzanine General Private Investment Trust No. 38      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 4,731 4,390  
Liabilities 21 19  
Operating revenue 477 244  
Profit (loss) 456 224  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 456 224  
TogetherKorea Private Investment Trust No. 6      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 5,542 5,425  
Liabilities 1 1  
Operating revenue 120 150  
Profit (loss) 117 147  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 117 147  
TogetherKorea Private Investment Trust No. 7      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 5,542 5,425  
Liabilities 1 1  
Operating revenue 120 150  
Profit (loss) 117 147  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 117 147  
Kiwoom Core Industrial Technology Investment Fund No.3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 12,014 12,139  
Liabilities 0 0  
Operating revenue 831 239  
Profit (loss) (127) 112  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (127) 112  
Penture K-Content Investment Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 81,619 57,553  
Liabilities 337 337  
Operating revenue 67 505  
Profit (loss) (16,373) (1,532)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (16,373) (1,532)  
2023 Shinhan-JB Woori-Daeshin Listed Companies New Technology Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 35,845 45,013  
Liabilities 69 119  
Operating revenue 10,805 43  
Profit (loss) 10,183 (3,047)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 10,183 (3,047)  
Hana Alternative Investment Kosmes PCBO General PEF No. 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,278 13,852  
Liabilities 15 15  
Operating revenue 2,110 1,524  
Profit (loss) 1,852 1,469  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,852 1,469  
Shinhan-Timefolio Bio Accelerator Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 35,826 24,659  
Liabilities 464 464  
Operating revenue 24,201 32  
Profit (loss) 23,693 (458)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 23,693 (458)  
Shinhan M&A-ESG Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 38,799 27,661  
Liabilities 0 1  
Operating revenue 4,015 137  
Profit (loss) 2,799 (1,245)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,799 (1,245)  
Shinhan Mid and Small-Sized Office Value-Added MO REIT Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 68,818 103,444  
Liabilities 70 37,314  
Operating revenue 11,231 21,731  
Profit (loss) 4,276 5,701  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 4,276 5,701  
KDBC meta-enter New Technology investment fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   24,375  
Liabilities   2  
Operating revenue   1  
Profit (loss)   (513)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (513)  
Shinhan Time Secondary Blind New Technology Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 23,448 9,762  
Liabilities 0 0  
Operating revenue 8,951 133  
Profit (loss) 8,686 (246)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 8,686 (246)  
Shinhan DS Secondary Investment Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 62,721 5,047  
Liabilities 153 152  
Operating revenue 43,951 (653)  
Profit (loss) 43,452 (9,219)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 43,452 (9,219)  
Shinhan-openwater pre-IPO Investment Trust 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 13,138 11,337  
Liabilities 6 5  
Operating revenue 6,899 1,873  
Profit (loss) 6,700 1,386  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 6,700 1,386  
Shinhan-Eco Venture Fund 2nd      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 9,001 9,935  
Liabilities 42 42  
Operating revenue 249 0  
Profit (loss) (108) (257)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (108) (257)  
Heungkuk-Shinhan the1st Visionary Technology Investment Trust no. 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 17,637 16,243  
Liabilities 0 0  
Operating revenue 725 835  
Profit (loss) 133 358  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 133 358  
Hantoo Shinhan Lake K-beauty Technology Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 30,811 44,701  
Liabilities 0 0  
Operating revenue 0 1,878  
Profit (loss) (1,098) 1,284  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,098) 1,284  
Shinhan HB Wellness 1st Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 11,722 10,971  
Liabilities 0 0  
Operating revenue 869 808  
Profit (loss) 750 688  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 750 688  
Korea real Asset Fund No.3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 65,623 58,401  
Liabilities 239 468  
Operating revenue 8,086 0  
Profit (loss) 3,787 (2,198)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 3,787 (2,198)  
Timefolio Tech Fund I      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,419    
Liabilities 71    
Operating revenue 531    
Profit (loss) 231    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 231    
PineStreet Global Corporate FoF XIII-2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 8,150 3,748  
Liabilities 8 5  
Operating revenue 1,805 173  
Profit (loss) 1,126 (47)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,126 (47)  
IGIS Yongsan Office General Private Real Estate Investment Trust 518      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 262,395 271,916  
Liabilities 208,976 206,529  
Operating revenue 11,179 16,409  
Profit (loss) (9,200) (614)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (9,200) (614)  
SH K-REITs Infra Real Estate Investment Trust (FoFs)      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 13,671    
Liabilities 16    
Operating revenue 2,515    
Profit (loss) 2,339    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 2,339    
Samsung-dunamu Innovative IT Technology Investment Trust No. 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 17,420 16,313  
Liabilities 0 0  
Operating revenue 671 11  
Profit (loss) 1,109 (3,419)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,109 (3,419)  
Time Robotics New Technology Investment Trust      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 12,158 12,651  
Liabilities 0 0  
Operating revenue 245 240  
Profit (loss) (255) 40  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (255) 40  
Ascent-welcome Technology Investment Trust No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 25,688 30,597  
Liabilities 0 0  
Operating revenue 1,144 16  
Profit (loss) 1,092 (1,125)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 1,092 (1,125)  
Igis General PE Real Estate Investment Trust 517-1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 57,644 57,074  
Liabilities 346 346  
Operating revenue (1,786) 11  
Profit (loss) (2,573) (1,983)  
Other comprehensive income (loss) (776) 0  
Total comprehensive income (loss) (3,349) (1,983)  
Consus Osansegyo No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 16,406 16,024  
Liabilities 388 6  
Operating revenue 383 284  
Profit (loss) 0 282  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 0 282  
Shinhan AIM Private Fund of Fund 9-B      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 174,507 147,033  
Liabilities 123 70  
Operating revenue 35,441 25,619  
Profit (loss) 7,208 11,888  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 7,208 11,888  
Shinhan General Private Real Estate Investment Trust No.3      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 143,216 130,731  
Liabilities 1,616 2,057  
Operating revenue 8,811 5,557  
Profit (loss) 9,747 (491)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 9,747 (491)  
Paros Kosdaq Venture General Private Investment Trust No. 5      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 12,354 23,074  
Liabilities 2 0  
Operating revenue 921 916  
Profit (loss) 374 2,087  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 374 2,087  
Happy Pet Life Care New Technology Investment Association No.2      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   9,997  
Liabilities   0  
Operating revenue   0  
Profit (loss)   (1,523)  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   (1,523)  
Shinhan-soo secondary Fund [Member]      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 22,475 21,567  
Liabilities 0 0  
Operating revenue 1,272 77  
Profit (loss) 908 (982)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 908 (982)  
MK Ventures-K Clavis Growth Capital Venture Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 7 10 [1]  
Liabilities 0 0 [1]  
Operating revenue 0 151 [1]  
Profit (loss) (4) 146 [1]  
Other comprehensive income (loss) 0 0 [1]  
Total comprehensive income (loss) (4) 146 [1]  
AJ-KOSNET Semicon One Venture Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,406 14,576  
Liabilities 178 122  
Operating revenue 2 1,827  
Profit (loss) (230) 1,613  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (230) 1,613  
Reverent-Shinhan Vista Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 28,061 25,415  
Liabilities 0 0  
Operating revenue 2,541 6,002  
Profit (loss) 2,237 5,629  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,237 5,629  
Shinhan-Sneak Peek Bio&Healthcare Bounce Back Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 7,905 7,831  
Liabilities 0 0  
Operating revenue 3,511 815  
Profit (loss) 2,374 810  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,374 810  
Aurum Goldrush ESG Private Fund No. 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 9,082 10,629  
Liabilities 12 16  
Operating revenue (1,155) 332  
Profit (loss) (1,546) 316  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,546) 316  
Shinhan-CJ TechInnovation Fund 1st      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 11,053 11,488  
Liabilities 0 0  
Operating revenue 68 66  
Profit (loss) (435) (422)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (435) (422)  
Newmain I funds [Member]      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   25,757  
Liabilities   3  
Operating revenue   25,313  
Profit (loss)   20,278  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   20,278  
SH Ulmus M.P.E. Innovative Venture Fund 7      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 10,268 10,612  
Liabilities 0 0  
Operating revenue 206 250  
Profit (loss) (347) 112  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (347) 112  
TECHFIN RATINGS Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 26,117 32,223  
Liabilities 3,606 4,000  
Operating revenue 1,370 170  
Profit (loss) (5,711) (3,089)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (5,711) (3,089)  
Songpa biz cluster PFV Co., Ltd.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 2,061,152 909,499  
Liabilities 2,013,972 860,724  
Operating revenue 0 0  
Profit (loss) (1,595) (1,225)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (1,595) (1,225)  
Planeta PTE LTD      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 36,720 36,088  
Liabilities 0 2,061  
Operating revenue 3,719 1,677  
Profit (loss) 2,694 3,354  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,694 3,354  
The E&Shinhan New Growth Up Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,992 7,035  
Liabilities 0 0  
Operating revenue 3,129 16  
Profit (loss) 2,796 (163)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,796 (163)  
HHR Special Situation Real Estate Private Investment Trust No. 13      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 16,118    
Liabilities 37    
Operating revenue 3,701    
Profit (loss) 3,455    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 3,455    
Shinhan-GB FutureFlow Fund L.P.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 16,177 8,951  
Liabilities 12 99  
Operating revenue 9 (98)  
Profit (loss) (626) (801)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (626) (801)  
Credila Financial Services      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 8,555,773 6,597,497  
Liabilities 7,082,850 5,362,148  
Operating revenue 907,033 188,931  
Profit (loss) 199,394 36,768  
Other comprehensive income (loss) (6,759) 0  
Total comprehensive income (loss) 192,635 36,768  
Shinhan-DS Mezzanine Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 24,137    
Liabilities 0    
Operating revenue 5,679    
Profit (loss) 5,128    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 5,128    
Shinhan Time BM sobujang Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 11,462    
Liabilities 0    
Operating revenue 1,004    
Profit (loss) 734    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 734    
Tigris Fund No. 58      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 18,286    
Liabilities 0    
Operating revenue 15,760    
Profit (loss) 15,612    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 15,612    
Shinhan Market-Frontier Fund III      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 51,059 29,058  
Liabilities 0 0  
Operating revenue 3,594 89  
Profit (loss) 2,001 (940)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,001 (940)  
DB IPO HighYield Fund 1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   14,974  
Liabilities   0  
Operating revenue   970  
Profit (loss)   846  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   846  
Exponential SQUARE Private Investment Trust No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   10,233  
Liabilities   18  
Operating revenue   3,365  
Profit (loss)   220  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   220  
Fine North America Credit Private Mixed Asset Investment Trust 22      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 10,641 8,610  
Liabilities 641 769  
Operating revenue 1,764 1,062  
Profit (loss) 787 401  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 787 401  
IGIS Private Real Estate Investment No.454      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 14,004 14,022  
Liabilities 15 12  
Operating revenue 1 95  
Profit (loss) (25) 81  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (25) 81  
IGIS Private Real Estate Investment No.462      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 6,372 6,445  
Liabilities 47 39  
Operating revenue 6 223  
Profit (loss) (81) 176  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (81) 176  
BNW Recharge Private Equity Fund      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 21,346 33,918  
Liabilities 133 133  
Operating revenue 3 2,050  
Profit (loss) (12,570) 1,755  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) (12,570) 1,755  
United Partners Realasset Fund No.14      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 30,260 30,026  
Liabilities 53 32  
Operating revenue 458 206  
Profit (loss) 405 (6)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 405 (6)  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.12      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   1,758,651  
Liabilities   1,399,238  
Operating revenue   78,021  
Profit (loss)   30,627  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   30,627  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.13      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets   1,186,406  
Liabilities   945,673  
Operating revenue   50,564  
Profit (loss)   19,152  
Other comprehensive income (loss)   0  
Total comprehensive income (loss)   19,152  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.14      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,130,346 1,086,016  
Liabilities 916,520 811,622  
Operating revenue 62,187 37,721  
Profit (loss) 35,016 19,563  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 35,016 19,563  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.15      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,115,837 1,085,298  
Liabilities 912,310 810,379  
Operating revenue 55,065 36,610  
Profit (loss) 27,165 18,667  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 27,165 18,667  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.16      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,085,990 1,084,569  
Liabilities 877,765 818,607  
Operating revenue 65,151 42,410  
Profit (loss) 35,020 24,595  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 35,020 24,595  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.17      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 540,904 525,649  
Liabilities 443,282 418,113  
Operating revenue 37,459 2,206  
Profit (loss) 24,955 (155)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 24,955 (155)  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.18      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,110,136 1,045,465  
Liabilities 877,285 826,940  
Operating revenue 87,835 (1,922)  
Profit (loss) 61,808 (4,905)  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 61,808 (4,905)  
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.19      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 532,152 523,914  
Liabilities 416,574 422,896  
Operating revenue 50,597 5,962  
Profit (loss) 38,412 5,122  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 38,412 5,122  
SH US Buyback&High Dividend Security Feeder Investment Trust(H)[Equity]      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 22,143 18,870  
Liabilities 102 109  
Operating revenue 5,643 7,131  
Profit (loss) 2,597 3,895  
Other comprehensive income (loss) 0 0  
Total comprehensive income (loss) 2,597 ₩ 3,895  
SH Prestige High Dividend Security Feeder No.1[Equity]      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 28,356    
Liabilities 52    
Operating revenue 9,538    
Profit (loss) 9,319    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 9,319    
IGIS Real Estate General Private Feeder Investment Company No.562      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 24,919    
Liabilities 663    
Operating revenue (53)    
Profit (loss) (1,716)    
Other comprehensive income (loss) (1,536)    
Total comprehensive income (loss) (3,252)    
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.21      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,584,731    
Liabilities 1,289,266    
Operating revenue 43,763    
Profit (loss) (20,336)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) (20,336)    
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.22      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,565,827    
Liabilities 1,255,271    
Operating revenue 43,249    
Profit (loss) (5,250)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) (5,250)    
Shinhan Securities HIFI Bond SafeR 2Y Private Fund No.23      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,378,370    
Liabilities 1,085,625    
Operating revenue 34,074    
Profit (loss) (23,051)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) (23,051)    
Finflow      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 46,860    
Liabilities 3,444    
Operating revenue 6,876    
Profit (loss) (133)    
Other comprehensive income (loss) (858)    
Total comprehensive income (loss) (991)    
Fireant Media and Digital Service Joint Stock Company      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 26,827    
Liabilities 97    
Operating revenue 403    
Profit (loss) (1,155)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) (1,155)    
ST EIP Holdings Inc.      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 614,640    
Liabilities 506,195    
Operating revenue 26,162    
Profit (loss) 2,582    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 2,582    
AMP Capital Global Infrastructure Fund II B L      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 1,630,662    
Liabilities 92,506    
Operating revenue 290,372    
Profit (loss) (78,067)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) (78,067)    
Post CR REITS No.1      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 5,008    
Liabilities 8    
Operating revenue 8    
Profit (loss) 0    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) 0    
SH US Long Term Treasury Plus Security Feeder Investment Trust(H)[Bond-FoFs]      
Condensed statement of financial position and comprehensive income information of associates [Line Items]      
Assets 20,452    
Liabilities 139    
Operating revenue 1,596    
Profit (loss) (206)    
Other comprehensive income (loss) 0    
Total comprehensive income (loss) ₩ (206)    
[1] Excluded associates that are not accounted for using the equity method due to disposal or for which financial information was not available as of December 31, 2024.