SK Chemicals Co.,Ltd (KRX:28513K)
South Korea flag South Korea · Delayed Price · Currency is KRW
27,600
+600 (2.22%)
Last updated: Mar 20, 2026, 2:09 PM KST

SK Chemicals Co.,Ltd Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
567,556542,302396,012400,028255,615
Short-Term Investments
950,748851,5751,204,4225,300-
Trading Asset Securities
---1,314,4421,794,156
Cash & Short-Term Investments
1,518,3041,393,8771,600,4341,719,7712,049,772
Cash Growth
8.93%-12.91%-6.94%-16.10%380.39%
Accounts Receivable
312,935257,550153,727184,228180,108
Other Receivables
29,843110,92026,27165,712184,480
Receivables
342,784368,471179,998249,940364,588
Inventory
625,356565,486376,918482,753349,299
Prepaid Expenses
10,27611,7778,0617,1485,223
Other Current Assets
44,51646,14637,13455,22515,176
Total Current Assets
2,541,2352,385,7582,202,5452,514,8372,784,059
Property, Plant & Equipment
2,770,8862,504,5341,636,9511,221,7401,014,632
Long-Term Investments
317,27695,290113,21251,96572,552
Goodwill
55,33957,52286.2386.2386.23
Other Intangible Assets
105,30694,42945,83739,80931,248
Long-Term Deferred Tax Assets
142,313123,20468,75627,99111,427
Long-Term Deferred Charges
66,87611,0278,28111,88213,088
Other Long-Term Assets
87,25594,32882,31876,50928,540
Total Assets
6,087,6245,367,0494,158,7753,945,6833,955,632
Accounts Payable
204,308117,810112,56195,187168,149
Accrued Expenses
123,915106,36758,73072,96270,855
Short-Term Debt
326,462303,095263,708436,11011,671
Current Portion of Long-Term Debt
151,422127,397192,405103,987207,864
Current Portion of Leases
7,2627,8047,67711,6852,789
Current Income Taxes Payable
10,99223,0769,53536,223174,010
Current Unearned Revenue
231.04284.36362.85229.52210.83
Other Current Liabilities
311,505297,410185,231302,398451,100
Total Current Liabilities
1,136,096983,246830,2111,058,7811,086,649
Long-Term Debt
1,661,7831,203,220637,075161,960256,063
Long-Term Leases
15,51716,6859,02313,1858,344
Pension & Post-Retirement Benefits
----4,870
Long-Term Deferred Tax Liabilities
64,03671,960--30,339
Other Long-Term Liabilities
69,75358,9726,6912,8502,630
Total Liabilities
2,947,1852,334,0821,483,0011,236,7771,388,895
Common Stock
99,01898,79498,79498,79498,681
Additional Paid-In Capital
1,241,1861,240,1171,212,4221,199,0351,192,769
Retained Earnings
884,169861,030866,511868,597780,501
Treasury Stock
-4,487-8,921-8,921-8,921-8,921
Comprehensive Income & Other
39,4419,674-50,101-10,805-9,487
Total Common Equity
2,259,3292,200,6932,118,7042,146,6992,053,542
Minority Interest
881,110832,273557,070562,207513,196
Shareholders' Equity
3,140,4393,032,9662,675,7742,708,9062,566,737
Total Liabilities & Equity
6,087,6245,367,0494,158,7753,945,6833,955,632
Total Debt
2,162,4451,658,2021,109,889726,927486,731
Net Cash (Debt)
-644,141-264,325490,546992,8431,563,041
Net Cash Growth
---50.59%-36.48%-
Net Cash Per Share
-33256.10-11214.4625544.2251324.6479342.02
Filing Date Shares Outstanding
19.6317.2217.2217.2217.59
Total Common Shares Outstanding
19.6319.1919.1919.3419.56
Working Capital
1,405,1391,402,5121,372,3341,456,0561,697,409
Book Value Per Share
115111.61114677.84110405.41111007.32105001.73
Tangible Book Value
2,098,6842,048,7422,072,7812,106,8042,022,208
Tangible Book Value Per Share
106926.85106759.69108012.35108944.33103399.55
Land
262,377253,793227,772226,248194,575
Buildings
1,541,3281,193,403492,213448,217422,759
Machinery
1,862,3261,414,809322,787271,949277,390
Construction In Progress
432,663814,080532,935227,78490,530
Source: S&P Global Market Intelligence. Standard template. Financial Sources.