SK Telecom Co.Ltd (SKM)
NYSE: SKM
· Real-Time Price · USD
22.55
0.13 (0.58%)
At close: Aug 15, 2025, 3:59 PM
22.60
0.24%
After-hours: Aug 15, 2025, 05:29 PM EDT
SK Telecom Ltd Balance Sheet Statement
Financials in KRW. Fiscal
year is
January - December.
Fiscal Year | Q1 2025 | Q4 2024 | Q3 2024 | Q2 2024 | Q1 2024 | Q4 2023 | Q3 2023 | Q2 2023 | Q1 2023 | Q4 2022 | Q3 2022 | Q2 2022 | Q1 2022 | Q4 2021 | Q3 2021 | Q2 2021 | Q1 2021 |
Period Ending | Mar 31, 2025 | Dec 31, 2024 | Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 |
Cash & Equivalents | 2,297.2B | 2,023.7B | 1,966.3B | 1,573.5B | 1,719B | 1,455B | 1,164.3B | 1,558B | 1,695.9B | 1,882.3B | 1,191.5B | 1,152.9B | 894.66B | 872.73B | 1,491.6B | 1,539.3B | 1,231.3B |
Short-Term Investments | 254.61B | 323.89B | 270.68B | 219.87B | 354.62B | 294.93B | 430.92B | 355.22B | 222.27B | 237.23B | 647.53B | 688.55B | 491.58B | 513.69B | 1,686.6B | 1,581.9B | 1,457.7B |
Long-Term Investments | 4,181.1B | 4,220.1B | 3,552.7B | 3,703.9B | 4,378B | 4,164.3B | 3,605.7B | 3,528.6B | 3,433.6B | 3,300.4B | 3,472.1B | 3,541.5B | 3,855.3B | 3,912.8B | 19,621.2B | 18,240.6B | 16,446.2B |
Other Long-Term Assets | 1,935.4B | 1,933.7B | 1,993.8B | 1,937.8B | 1,391.6B | 1,415.4B | 2,063.9B | 2,046.4B | 2,032.1B | 2,059.4B | 1,856.6B | 1,776.2B | 1,844B | 1,832.2B | 1,980.5B | 1,828.6B | 1,878.8B |
Receivables | 2,640B | 2,514.1B | 2,681.9B | 2,618.7B | 2,632.7B | 2,490.9B | 2,705.5B | 2,446.3B | 2,541B | 2,614.2B | 2,811.3B | 2,740.4B | 2,750.5B | 2,610.2B | 3,690B | 3,440.3B | 3,568.5B |
Inventory | 205.9B | 209.78B | 222.33B | 213.18B | 210.33B | 179.81B | 187.32B | 166.74B | 200.12B | 166.35B | 196.53B | 183.31B | 223.41B | 204.64B | 198.21B | 211.78B | 221.52B |
Other Current Assets | 290.43B | 459.57B | 252.94B | 262.78B | 154.9B | 154.91B | 115.57B | 168.31B | 319.18B | 288.34B | 433.46B | 264.13B | 139.85B | 140.5B | 147.58B | 185.16B | 161.84B |
Total Current Assets | 7,675.4B | 7,476.7B | 7,365.7B | 6,866.5B | 7,109.6B | 6,585.6B | 6,614.6B | 6,706B | 7,011.5B | 7,219.2B | 7,318.7B | 7,061.2B | 6,544.8B | 6,352.7B | 9,319.6B | 9,140.9B | 8,865.2B |
Property-Plant & Equipment | 11,982.4B | 12,617.4B | 12,117B | 12,330.2B | 12,621.4B | 13,006.2B | 12,655.7B | 12,925.5B | 12,821.5B | 13,322.5B | 12,445.6B | 12,670.9B | 12,571.4B | 12,871.3B | 13,140.3B | 13,243.8B | 12,900.5B |
Goodwill & Intangibles | 4,146.2B | 4,267.4B | 4,422.8B | 4,598.5B | 4,785.4B | 4,936.1B | 4,934.7B | 5,093.8B | 5,237.4B | 5,399.9B | 5,436.4B | 5,598.6B | 5,759B | 5,942.3B | 7,513.6B | 7,505.5B | 7,597.3B |
Total Long-Term Assets | 22,245.1B | 23,038.6B | 22,107.1B | 22,585.3B | 23,186.9B | 23,533.6B | 23,264.7B | 23,599.6B | 23,528.2B | 24,089.1B | 23,211.1B | 23,587.2B | 24,029.8B | 24,558.6B | 42,357.9B | 40,916.7B | 38,896.3B |
Total Assets | 29,920.6B | 30,515.3B | 29,472.8B | 29,451.8B | 30,296.5B | 30,119.2B | 29,879.3B | 30,305.6B | 30,539.7B | 31,308.3B | 30,529.8B | 30,648.4B | 30,574.7B | 30,911.3B | 51,677.5B | 50,057.6B | 47,761.5B |
Account Payables | 116.72B | 126.51B | 165.49B | 92.84B | 144.97B | 139.88B | 127.58B | 101.62B | 138.99B | 89.25B | 148.76B | 113.21B | 151.05B | 190.56B | 338.28B | 304.31B | 336.52B |
Deferred Revenue | 183.2B | n/a | 165.65B | 169.95B | 529.77B | 523.35B | 156.22B | 163.44B | 162.82B | 172.35B | 180.96B | 166.47B | 164.29B | 166.44B | 231.66B | 240.45B | 230.72B |
Short-Term Debt | 2,451.5B | 2,560.1B | 2,584.7B | 2,197.2B | 1,946.1B | 1,621.8B | 1,278.2B | 1,555.2B | 2,027B | 2,110.6B | 2,466.7B | 2,158.9B | 1,468.5B | 1,443.3B | 1,508.9B | 1,269B | 1,246.4B |
Other Current Liabilities | 42.47B | 156.37B | 433.11B | 42.69B | 39.27B | 38.29B | 38.1B | 38.37B | 39.64B | 39.68B | 75.6B | 66.57B | 67.36B | 61.74B | 144.81B | 151.76B | 68.61B |
Total Current Liabilities | 8,730.6B | 9,224.3B | 8,127.4B | 7,076.1B | 7,258.3B | 6,994B | 6,526.2B | 6,659.2B | 7,202.9B | 8,046.5B | 7,429B | 7,575.9B | 6,935.3B | 6,960.4B | 8,380.5B | 7,821.8B | 8,099.6B |
Long-Term Debt | 6,601.4B | 6,566.8B | 6,071.1B | 6,700.7B | 7,416B | 7,421.9B | 7,490.2B | 7,667.7B | 7,391.6B | 7,192.2B | 7,015.2B | 7,064.7B | 7,423.2B | 7,390.5B | 9,632.8B | 9,780.5B | 9,613.1B |
Other Long-Term Liabilities | 373.68B | 697.27B | 1,573.2B | 986.41B | 1,390.8B | 1,745.7B | 1,343.2B | 1,347.5B | 1,344B | 1,693.3B | 1,691.3B | 1,716.4B | 1,693.8B | 2,062.6B | 1,981.8B | 1,844.6B | 1,678.5B |
Total Long-Term Liabilities | 9,248.1B | 9,463.4B | 8,784B | 9,789B | 10,983.7B | 11,295.4B | 10,981.5B | 11,252.7B | 11,020B | 11,106.5B | 10,803.7B | 10,925.8B | 11,369.9B | 11,615.7B | 16,113.1B | 15,829B | 15,092.8B |
Total Liabilities | 17,978.7B | 18,687.6B | 16,911.4B | 16,865.1B | 18,242B | 18,289.3B | 17,507.7B | 17,911.9B | 18,223B | 19,153.1B | 18,232.7B | 18,501.8B | 18,305.2B | 18,576.1B | 24,493.7B | 23,650.8B | 23,192.4B |
Total Debt | 10,669B | 10,764.8B | 10,163.6B | 10,442.1B | 11,350B | 11,053.7B | 10,438.9B | 10,952.3B | 11,185B | 11,084.9B | 11,049B | 10,821.7B | 10,492B | 10,368.1B | 12,782.4B | 12,552.9B | 12,313.9B |
Common Stock | 30.49B | n/a | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 30.49B | 44.64B | 44.64B | 44.64B |
Retained Earnings | 23,087.3B | 23,027.8B | 22,920.9B | 22,830.5B | 8,009.2B | 8,381.2B | 22,828.6B | 22,712.1B | 22,549.8B | 22,463.7B | 22,457B | 22,376.7B | 22,297.1B | 22,437.3B | 22,307.1B | 21,679.4B | 22,875.8B |
Comprehensive Income | 654.65B | 646.9B | -12,886.6B | 536.42B | 1,542.2B | 1,109.8B | 339.08B | 388.24B | 488.43B | 391.23B | 556B | 500.53B | 738B | 735.24B | 1,090.2B | 952.92B | 336.5B |
Shareholders Equity | 11,819.3B | 11,698.6B | 11,742.8B | 11,381B | 11,259.6B | 10,990.5B | 11,549.6B | 11,585.2B | 11,523.1B | 11,318.3B | 11,505.3B | 11,358.3B | 11,505.6B | 11,579.3B | 26,268.5B | 25,503.4B | 23,897.2B |
Total Investments | 4,435.7B | 4,544B | 3,823.4B | 3,923.7B | 4,732.6B | 4,459.2B | 4,036.6B | 3,883.8B | 3,655.9B | 3,537.6B | 4,119.6B | 4,230B | 4,346.9B | 4,426.5B | 21,307.7B | 19,822.5B | 17,903.9B |