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SK Inc. (034730.KS)

KSE - KSE Precio retrasado. Moneda en KRW.
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155,000.00+600.00 (+0.39%)
Al cierre: 03:30PM KST
Anual

Balance

Todos los números en miles
Desglose
31/12/2023
31/12/2022
31/12/2021
31/12/2020
31/12/2019
Activos
Activos corrientes
Efectivo
Caja y equivalentes de caja
22,683,670,000
21,393,853,000
12,317,555,000
10,096,940,000
-
Otras inversiones a corto plazo
3,128,879,000
3,967,894,000
6,478,105,000
4,634,484,000
-
Caja total
25,812,549,000
25,361,747,000
18,795,660,000
14,731,424,000
-
Cuentas pendientes netas
13,879,388,000
14,334,532,000
11,387,442,000
8,871,416,000
-
Inventario
15,006,555,000
15,552,284,000
10,680,704,000
6,179,497,000
-
Otros activos circulantes
137,316,000
196,018,000
173,337,000
178,551,000
-
Activos corrientes totales
64,834,622,000
64,993,579,000
49,193,206,000
38,052,297,000
-
Activos no corrientes
Propiedad, planta y equipo
Propiedad bruta, planta y equipo
112,951,369,000
69,334,716,000
57,562,264,000
53,223,085,000
-
Depreciación acumulada
-32,788,895,000
-2,670,753,000
-
-
-1,057,924,000
Propiedad neta, planta y equipo
80,153,986,000
66,659,947,000
57,562,264,000
53,223,085,000
-
Valor llave
6,845,928,000
7,475,558,000
5,618,511,000
4,454,730,000
-
Activos intangibles
10,258,796,000
11,408,358,000
11,547,683,000
10,892,266,000
-
Otros activos a largo plazo
772,375,000
910,826,000
-595,298,000
-399,595,000
-
Total de activos no corrientes
142,135,642,000
129,512,281,000
116,175,157,000
99,615,609,000
-
Activos totales
206,970,264,000
194,505,860,000
165,368,363,000
137,667,906,000
-
Patrimonio neto y accionistas
Obligaciones
Pasivos circulantes
Deuda corriente
30,407,664,000
28,830,417,000
15,485,452,000
12,418,208,000
-
Cuentas a pagar
12,949,401,000
14,024,892,000
9,519,544,000
6,061,576,000
-
Otros pasivos circulantes
44,951,000
134,980,000
48,266,000
19,077,000
-
Pasivos circulantes totales
65,353,291,000
63,053,204,000
44,974,859,000
37,212,697,000
-
Obligaciones no corrientes
Deuda a largo plazo
48,570,229,000
45,641,745,000
42,620,141,000
36,843,510,000
-
Obligaciones de impuestos diferidas
4,144,444,000
4,435,594,000
3,807,437,000
4,572,189,000
-
Ingresos diferidos
1,253,977,000
1,348,138,000
989,831,000
873,347,000
-
Otras obligaciones a largo plazo
1,272,667,000
316,245,000
225,409,000
209,330,000
-
Total de obligaciones no corrientes
63,737,923,000
59,643,866,000
54,840,853,000
48,595,291,000
-
Pasivos totales
129,091,214,000
122,697,070,000
99,815,712,000
85,807,988,000
-
Patrimonio neto
Acción ordinaria
16,143,000
16,143,000
16,143,000
15,385,000
-
Ganancias retenidas
13,668,066,000
14,918,613,000
14,061,050,000
12,496,676,000
-
Total de patrimonio neto de los accionistas
20,726,714,000
21,595,546,000
21,243,751,000
17,435,044,000
-
Total de obligaciones y capital de los accionistas
206,970,264,000
194,505,860,000
165,368,363,000
137,667,906,000
-