SKNetworksCoLtd
KRX:001740

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SKNetworksCoLtd
KRX:001740
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Price: 4 425 KRW -0.9% Market Closed
Market Cap: 895.7B KRW
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Balance Sheet

Balance Sheet Decomposition
SKNetworksCoLtd

Current Assets 2.6T
Cash & Short-Term Investments 1.1T
Receivables 990.1B
Other Current Assets 553.4B
Non-Current Assets 3.3T
Long-Term Investments 632.3B
PP&E 1.2T
Intangibles 631.4B
Other Non-Current Assets 772.5B
Current Liabilities 2.5T
Accounts Payable 888.7B
Accrued Liabilities 69.7B
Short-Term Debt 697.7B
Other Current Liabilities 823.5B
Non-Current Liabilities 1.3T
Long-Term Debt 1.1T
Other Non-Current Liabilities 140.5B

Balance Sheet
SKNetworksCoLtd

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Balance Sheet
Currency: KRW
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
1 291 769
1 128 967
696 360
263 364
484 466
496 862
861 330
1 372 990
355 941
337 251
Cash
481 229
122 531
0
0
0
0
0
0
0
0
Cash Equivalents
810 540
1 006 436
696 360
263 364
484 466
496 862
861 330
1 372 990
355 941
337 251
Short-Term Investments
11 614
8 150
10 394
7 493
19 162
11 556
4 515
4 566
484 546
351 744
Total Receivables
1 648 169
1 477 267
1 563 062
1 238 063
1 216 454
1 045 270
893 348
979 816
881 098
803 520
Accounts Receivables
1 462 566
1 238 209
1 436 064
1 145 267
1 144 556
914 445
757 676
779 349
643 539
552 425
Other Receivables
185 603
239 058
126 998
92 796
71 898
130 825
135 672
200 467
237 559
251 095
Inventory
948 187
1 141 744
550 071
635 348
1 008 017
731 912
562 470
433 605
698 650
586 005
Other Current Assets
392 920
167 147
598 855
465 131
525 065
1 680 079
317 015
256 178
282 974
292 934
Total Current Assets
4 292 659
3 923 275
3 418 741
2 609 399
3 253 164
3 965 679
2 638 678
3 047 155
2 703 209
2 371 454
PP&E Net
3 515 339
3 518 874
3 985 113
3 540 077
3 399 690
4 795 118
4 443 154
4 625 600
4 663 464
4 487 499
PP&E Gross
3 515 339
3 518 874
3 985 113
3 540 077
3 399 690
4 795 118
4 443 154
4 625 600
4 663 464
4 487 499
Accumulated Depreciation
662 678
736 070
868 219
856 794
964 886
1 805 898
1 806 204
2 000 423
2 178 763
2 194 493
Intangible Assets
67 120
58 278
295 217
290 595
296 799
315 752
327 418
335 992
381 825
375 968
Goodwill
31 861
36 527
264 503
264 503
264 547
448 068
444 300
444 067
443 167
493 671
Note Receivable
94 739
124 496
57 816
90
25 627
139 104
261 307
385 488
500 292
550 469
Long-Term Investments
311 762
302 234
286 697
183 536
204 913
203 392
420 491
402 795
551 807
588 994
Other Long-Term Assets
191 230
239 469
312 230
339 172
324 302
271 659
238 134
169 819
255 495
242 304
Other Assets
31 861
36 527
264 503
264 503
264 547
448 068
444 300
444 067
443 167
493 671
Total Assets
8 504 709
N/A
8 203 152
-4%
8 620 317
+5%
7 227 372
-16%
7 769 042
+7%
10 138 772
+31%
8 773 482
-13%
9 410 916
+7%
9 499 259
+1%
9 110 359
-4%
Liabilities
Accounts Payable
2 627 977
2 636 070
2 600 460
1 988 494
1 967 998
1 454 622
898 500
1 118 978
1 061 937
891 273
Accrued Liabilities
33 290
28 948
28 239
28 641
26 495
45 853
99 799
59 209
56 696
88 278
Short-Term Debt
0
0
1 014 531
417 019
0
934 803
951 202
935 363
924 929
746 507
Current Portion of Long-Term Debt
1 472 982
1 218 835
167 808
332 628
1 230 677
1 358 055
1 340 544
1 364 296
1 052 673
1 746 080
Other Current Liabilities
415 442
377 997
546 717
440 287
514 571
728 641
433 254
419 719
471 578
436 255
Total Current Liabilities
4 549 692
4 261 850
4 357 755
3 207 069
3 739 741
4 521 974
3 723 299
3 897 565
3 567 813
3 908 393
Long-Term Debt
1 266 436
1 254 133
1 562 498
1 363 255
1 399 294
2 942 083
2 446 747
2 756 554
3 061 922
2 670 008
Deferred Income Tax
28 093
19 987
86 362
87 822
85 831
85 606
71 279
70 906
69 621
80 725
Minority Interest
7 358
8 416
22 464
21 718
24 759
141 873
187 078
190 498
196 318
27 662
Other Liabilities
142 247
147 797
208 165
220 725
232 306
283 856
286 907
296 896
349 191
295 392
Total Liabilities
5 979 109
N/A
5 675 350
-5%
6 192 317
+9%
4 857 153
-22%
5 432 413
+12%
7 975 392
+47%
6 715 310
-16%
7 212 419
+7%
7 244 865
+0%
6 982 180
-4%
Equity
Common Stock
648 654
648 654
648 654
648 654
648 654
648 654
648 654
648 654
648 654
648 654
Retained Earnings
1 059 429
1 108 153
1 005 009
1 012 341
979 131
812 667
819 035
897 345
982 696
858 288
Additional Paid In Capital
814 611
814 735
814 503
814 476
814 729
806 498
749 608
741 332
741 332
776 385
Unrealized Security Profit/Loss
29 842
15 813
14 364
461
4 476
1 335
11 711
54 574
19 347
6 772
Treasury Stock
0
0
0
54 512
54 512
54 512
169 558
169 558
167 737
198 045
Other Equity
26 936
27 927
25 801
51 201
46 897
48 592
1 278
26 150
30 102
36 125
Total Equity
2 525 601
N/A
2 527 802
+0%
2 428 000
-4%
2 370 219
-2%
2 336 629
-1%
2 163 380
-7%
2 058 172
-5%
2 198 497
+7%
2 254 394
+3%
2 128 179
-6%
Total Liabilities & Equity
8 504 709
N/A
8 203 152
-4%
8 620 317
+5%
7 227 372
-16%
7 769 042
+7%
10 138 772
+31%
8 773 482
-13%
9 410 916
+7%
9 499 259
+1%
9 110 359
-4%
Shares Outstanding
Common Shares Outstanding
248
248
248
241
241
241
219
219
219
199
Preferred Shares Outstanding
0
0
0
0
0
0
0
0
0
0

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