SK Chemicals Co.,Ltd (KRX:28513K)
South Korea flag South Korea · Delayed Price · Currency is KRW
28,650
+150 (0.53%)
Last updated: Nov 25, 2025, 9:00 AM KST

SK Chemicals Co.,Ltd Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202015 - 2019
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
584,437542,302396,012400,028255,61586,764
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Short-Term Investments
847,301851,5751,204,4225,300--
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Trading Asset Securities
---1,314,4421,794,156339,928
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Cash & Short-Term Investments
1,431,7381,393,8771,600,4341,719,7712,049,772426,693
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Cash Growth
-17.36%-12.91%-6.94%-16.10%380.39%56.50%
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Accounts Receivable
319,759257,550153,727184,228180,108146,982
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Other Receivables
27,971110,92026,27165,712184,48078,712
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Receivables
347,734368,471179,998249,940364,588232,905
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Inventory
634,062565,486376,918482,753349,299252,930
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Prepaid Expenses
23,80511,7778,0617,1485,2233,854
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Other Current Assets
22,93446,14637,13455,22515,1766,904
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Total Current Assets
2,460,2732,385,7582,202,5452,514,8372,784,059923,286
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Property, Plant & Equipment
2,672,4212,504,5341,636,9511,221,7401,014,6321,086,101
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Long-Term Investments
146,39595,290113,21251,96572,55233,629
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Goodwill
53,98857,52286.2386.2386.2386.23
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Other Intangible Assets
107,53394,42945,83739,80931,24821,648
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Long-Term Deferred Tax Assets
181,520123,20468,75627,99111,42720,595
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Long-Term Deferred Charges
47,88211,0278,28111,88213,08815,221
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Other Long-Term Assets
73,10994,32882,31876,50928,54019,400
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Total Assets
5,744,1225,367,0494,158,7753,945,6833,955,6322,119,967
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Accounts Payable
145,347117,810112,56195,187168,14983,730
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Accrued Expenses
91,725106,36758,73072,96270,85545,472
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Short-Term Debt
414,065303,095263,708436,11011,671107,637
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Current Portion of Long-Term Debt
159,446127,397192,405103,987207,86496,947
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Current Portion of Leases
6,3577,8047,67711,6852,7893,038
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Current Income Taxes Payable
15,30823,0769,53536,223174,01069,339
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Current Unearned Revenue
2,275284.36362.85229.52210.83183.33
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Other Current Liabilities
308,799297,410185,231302,398451,100239,332
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Total Current Liabilities
1,143,321983,246830,2111,058,7811,086,649645,679
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Long-Term Debt
1,317,1551,203,220637,075161,960256,063491,616
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Long-Term Leases
15,61416,6859,02313,1858,3449,393
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Pension & Post-Retirement Benefits
----4,8707,643
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Long-Term Deferred Tax Liabilities
74,22071,960--30,3392,618
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Other Long-Term Liabilities
51,44958,9726,6912,8502,6304,085
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Total Liabilities
2,601,7592,334,0821,483,0011,236,7771,388,8951,161,034
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Common Stock
98,79498,79498,79498,79498,68166,000
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Additional Paid-In Capital
1,239,0021,240,1171,212,4221,199,0351,192,769264,315
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Retained Earnings
915,700861,030866,511868,597780,501643,305
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Treasury Stock
-4,487-8,921-8,921-8,921-8,921-5,754
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Comprehensive Income & Other
29,2059,674-50,101-10,805-9,487-14,988
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Total Common Equity
2,278,2142,200,6932,118,7042,146,6992,053,542952,878
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Minority Interest
864,149832,273557,070562,207513,1966,055
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Shareholders' Equity
3,142,3633,032,9662,675,7742,708,9062,566,737958,933
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Total Liabilities & Equity
5,744,1225,367,0494,158,7753,945,6833,955,6322,119,967
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Total Debt
1,912,6381,658,2021,109,889726,927486,731708,631
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Net Cash (Debt)
-480,900-264,325490,546992,8431,563,041-281,938
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Net Cash Growth
---50.59%-36.48%--
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Net Cash Per Share
-24872.07-13770.3425544.2251324.6479342.02-14303.46
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Filing Date Shares Outstanding
19.3319.1917.2217.2217.5917.59
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Total Common Shares Outstanding
19.3319.1919.1919.3419.5619.56
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Working Capital
1,316,9521,402,5121,372,3341,456,0561,697,409277,607
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Book Value Per Share
117828.87114677.84110405.41111007.32105001.7348707.10
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Tangible Book Value
2,116,6932,048,7422,072,7812,106,8042,022,208931,143
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Tangible Book Value Per Share
109475.05106759.69108012.35108944.33103399.5547596.12
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Land
267,573253,793227,772226,248194,575203,508
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Buildings
1,219,945838,192492,213448,217422,759413,235
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Machinery
1,459,381466,609322,787271,949277,390360,038
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Construction In Progress
1,015,975814,080532,935227,78490,53081,976
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.