SK hynix Inc.
000660.KS
KSC
587000
KRW+21000.00(+3.71%)
As of today
SK hynix Inc. fundamentals
000660.KS Cash Flow
| Period Ending | Dec 31, 2024 | Dec 31, 2023 | Dec 31, 2022 | Dec 31, 2021 | Dec 31, 2020 | Dec 31, 2019 | Dec 31, 2018 | Dec 31, 2017 | Dec 31, 2016 | Dec 31, 2015 | Dec 31, 2014 | Dec 31, 2013 | Dec 31, 2012 | Dec 31, 2011 | Dec 31, 2010 | Dec 31, 2009 | Dec 31, 2008 | Dec 31, 2007 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Net Income | 19,788,681,000,000 | -9,112,428,000,000 | 2,229,560,000,000 | 9,602,316,000,000 | 4,755,102,000,000 | 2,005,975,000,000 | 15,540,111,000,000 | 10,641,512,000,000 | 2,953,774,000,000 | 4,322,356,000,000 | 4,195,456,000,000 | 2,872,470,000,000 | -158,886,000,000 | -56,641,000,000 | 2,620,962,000,000 | -347,785,270,000 | -4,719,632,924,000 | 346,295,000,000 | |
| Depreciation & Amortization | 12,581,536,000,000 | 13,619,161,000,000 | 14,152,171,000,000 | 10,658,498,000,000 | 9,772,194,000,000 | 8,620,669,000,000 | 6,428,335,000,000 | 5,026,235,000,000 | 4,456,455,000,000 | 3,953,236,000,000 | 3,443,980,000,000 | 3,078,521,000,000 | 3,203,554,000,000 | 3,466,914,000,000 | 3,149,223,000,000 | 2,795,666,954,000 | 2,927,338,656,000 | 2,329,242,000,000 | |
| Deferred Income Tax | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
| Stock-Based Compensation | 0 | 0 | 0 | 2,491,000,000 | 1,591,000,000 | 1,738,000,000 | 1,163,000,000 | 813,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 6,913,815,000 | 11,118,413,000 | |
| Change in Working Capital | -5,599,819,000,000 | 793,788,000,000 | -2,689,717,000,000 | -3,018,362,000,000 | -1,649,848,000,000 | 270,140,000,000 | -1,996,918,000,000 | -3,190,136,000,000 | -1,459,046,000,000 | 832,283,000,000 | -2,657,462,000,000 | -68,793,000,000 | -761,771,000,000 | -813,130,000,000 | -30,163,000,000 | -893,639,378,000 | -1,255,938,698,000 | 280,488,000,000 | |
| Accounts Receivable Change | -5,084,288,000,000 | -1,426,495,000,000 | 3,249,353,000,000 | -2,528,660,000,000 | -930,043,000,000 | 2,256,452,000,000 | -509,153,000,000 | -3,000,813,000,000 | -408,034,000,000 | 1,984,321,000,000 | -2,207,890,000,000 | -527,919,000,000 | -322,127,000,000 | 169,469,000,000 | 185,743,000,000 | -1,172,061,323,000 | 770,924,198,000 | 423,822,000,000 | |
| Inventory Change | 166,722,000,000 | 2,288,020,000,000 | -6,572,069,000,000 | -696,559,000,000 | -843,842,000,000 | -851,735,000,000 | -1,782,384,000,000 | -634,623,000,000 | -110,769,000,000 | -414,830,000,000 | -314,547,000,000 | 333,179,000,000 | -335,580,000,000 | 99,702,000,000 | -226,645,000,000 | 528,348,340,000 | -477,788,553,000 | -244,134,000,000 | |
| Accounts Payable Change | 274,980,000,000 | -168,095,000,000 | 520,956,000,000 | -197,980,000,000 | 222,036,000,000 | -278,529,000,000 | 58,773,000,000 | 514,751,000,000 | -208,439,000,000 | -156,074,000,000 | 69,290,000,000 | 113,552,000,000 | -374,000,000 | -230,393,000,000 | 73,054,000,000 | 16,383,402,000 | -402,374,942,000 | -57,946,000,000 | |
| Other Working Capital Change | -957,233,000,000 | 100,358,000,000 | 112,043,000,000 | 404,837,000,000 | -97,999,000,000 | -856,048,000,000 | 235,846,000,000 | -69,451,000,000 | -731,804,000,000 | -581,134,000,000 | -204,315,000,000 | 12,395,000,000 | -103,690,000,000 | -851,908,000,000 | -62,315,000,000 | -266,309,797,000 | -1,146,699,401,000 | 158,746,000,000 | |
| Other Non-Cash Items | 3,025,487,000,000 | -1,022,330,000,000 | 1,088,503,000,000 | 2,552,705,000,000 | -564,468,000,000 | -4,348,786,000,000 | 2,254,508,000,000 | 2,212,190,000,000 | -402,261,000,000 | 211,645,000,000 | 884,717,000,000 | 489,858,000,000 | -71,246,000,000 | 258,817,000,000 | 167,736,000,000 | -213,860,710,000 | 2,665,445,450,000 | 464,470,723,000 | |
| Net Cash Provided by Operating Activities | 29,795,885,000,000 | 4,278,191,000,000 | 14,780,517,000,000 | 19,797,648,000,000 | 12,314,571,000,000 | 6,549,736,000,000 | 22,227,199,000,000 | 14,690,614,000,000 | 5,548,922,000,000 | 9,319,520,000,000 | 5,866,691,000,000 | 6,372,056,000,000 | 2,211,651,000,000 | 2,855,960,000,000 | 5,907,758,000,000 | 1,340,381,596,000 | -375,873,701,000 | 3,431,614,136,000 | |
| Investments in Property, Plant & Equipment | -15,945,534,000,000 | -8,325,138,000,000 | -19,748,882,000,000 | -13,460,528,000,000 | -10,869,391,000,000 | -14,593,600,000,000 | -16,969,285,000,000 | -9,913,214,000,000 | -6,486,729,000,000 | -7,398,368,000,000 | -5,137,013,000,000 | -3,507,293,000,000 | -3,931,951,000,000 | -3,744,349,000,000 | -3,569,698,000,000 | -1,034,842,817,000 | -2,842,798,950,000 | -5,178,228,340,000 | |
| Net Acquisitions | -3,349,000,000 | 1,539,825,000,000 | -858,537,000,000 | -7,290,805,000,000 | -480,279,000,000 | -179,416,000,000 | -233,838,000,000 | -114,487,000,000 | -2,293,000,000 | -9,893,000,000 | -21,149,000,000 | -3,648,000,000 | -274,732,000,000 | -12,841,000,000 | -20,993,000,000 | -77,969,250,000 | -22,834,673,000 | -5,830,926,000 | |
| Purchases of Investments | -3,480,509,000,000 | 0 | -1,966,960,000,000 | -4,178,864,000,000 | -1,169,728,000,000 | -627,000,000 | -4,519,495,000,000 | -2,146,576,000,000 | -20,612,000,000 | -7,447,000,000 | -22,502,899,000,000 | -5,355,151,000,000 | -3,300,131,000,000 | -7,897,000,000 | -701,431,000,000 | -178,493,669,000 | -47,342,910,000 | -38,977,940,000 | |
| Sales & Maturities of Investments | 1,981,129,000,000 | 1,636,802,000,000 | 4,247,114,000,000 | 2,572,763,000,000 | 914,364,000,000 | 4,390,240,000,000 | 4,174,783,000,000 | 4,641,000,000 | 113,536,000,000 | 42,524,000,000 | 21,365,982,000,000 | 3,961,499,000,000 | 2,768,398,000,000 | 325,552,000,000 | 1,375,000,000 | 1,384,660,000 | 190,437,534,000 | 21,421,808,000 | |
| Other Investing Activities | -556,374,000,000 | -2,186,216,000,000 | 443,519,000,000 | -34,843,000,000 | -235,359,000,000 | -67,533,000,000 | -3,880,914,000,000 | 250,474,000,000 | 165,647,000,000 | 247,654,000,000 | 207,252,000,000 | 12,468,000,000 | 40,037,000,000 | 50,271,000,000 | -418,657,000,000 | 285,500,139,000 | 684,845,029,000 | 13,660,269,000 | |
| Net Cash Used for Investing Activities | -18,004,637,000,000 | -7,334,727,000,000 | -17,883,746,000,000 | -22,392,277,000,000 | -11,840,393,000,000 | -10,450,936,000,000 | -21,428,749,000,000 | -11,919,162,000,000 | -6,230,451,000,000 | -7,125,530,000,000 | -6,087,827,000,000 | -4,892,125,000,000 | -4,698,379,000,000 | -3,389,264,000,000 | -4,709,404,000,000 | -1,004,420,937,000 | -2,037,693,970,000 | -5,187,955,129,000 | |
| Debt Repayment | -7,375,657,000,000 | 6,968,534,000,000 | 4,792,889,000,000 | 5,612,826,000,000 | 1,251,706,000,000 | 5,248,457,000,000 | 1,047,199,000,000 | 71,695,000,000 | 469,877,000,000 | -471,967,000,000 | 28,367,000,000 | -1,499,989,000,000 | -411,488,000,000 | 607,915,000,000 | -1,186,786,000,000 | -665,775,562,000 | 1,117,085,148,000 | 1,593,092,193,000 | |
| Common Stock Issued | 93,829,000,000 | 24,519,000,000 | 11,670,000,000 | 8,486,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 2,328,791,000,000 | 0 | 13,000,000 | 1,031,159,491,000 | 7,051,962,000 | 1,033,195,000 | |
| Common Stock Repurchased | 0 | 0 | 0 | 0 | 0 | 0 | -1,736,514,000,000 | 0 | 0 | -771,889,000,000 | -24,000,000 | 0 | 0 | -241,000,000 | 0 | 0 | 0 | 0 | |
| Dividends Paid | -826,323,000,000 | -825,575,000,000 | -1,677,821,000,000 | -800,282,000,000 | -684,002,000,000 | -1,026,003,000,000 | -706,002,000,000 | -423,601,000,000 | -353,001,000,000 | -218,401,000,000 | 0 | 0 | 0 | -88,541,000,000 | 0 | 0 | 0 | 0 | |
| Other Financing Activities | -595,789,000,000 | -470,633,000,000 | -304,942,000,000 | -328,717,000,000 | -315,650,000,000 | -385,786,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | -181,000,000 | -241,000,000 | 46,349,000,000 | -10,883,075,000 | 46,841,190,000 | -5,591,000 | |
| Net Cash Used/Provided by Financing Activities | -8,703,940,000,000 | 5,696,845,000,000 | 2,821,796,000,000 | 4,492,313,000,000 | 252,054,000,000 | 3,836,668,000,000 | -1,395,317,000,000 | -351,906,000,000 | 116,876,000,000 | -1,462,257,000,000 | 28,343,000,000 | -1,499,989,000,000 | 1,917,122,000,000 | 519,133,000,000 | -1,140,424,000,000 | 354,500,854,000 | 1,170,978,300,000 | 1,594,119,797,000 | |
| Effect of Forex Changes on Cash | 530,480,000,000 | -29,987,000,000 | 200,458,000,000 | 184,309,000,000 | -56,313,000,000 | 21,283,000,000 | -3,805,000,000 | -83,341,000,000 | 2,720,000,000 | 7,225,000,000 | -2,313,000,000 | -6,462,000,000 | -15,795,000,000 | 4,733,000,000 | -19,631,000,000 | -8,215,037,000 | 69,082,799,000 | 21,968,717,000 | |
| Net Change in Cash | 3,617,788,000,000 | 2,610,322,000,000 | -80,975,000,000 | 2,081,993,000,000 | 669,919,000,000 | -43,249,000,000 | -600,672,000,000 | 2,336,205,000,000 | -561,933,000,000 | 738,958,000,000 | -195,106,000,000 | -26,520,000,000 | -585,401,000,000 | -9,438,000,000 | 38,299,000,000 | 682,246,476,000 | -1,175,432,631,000 | -140,252,479,000 | |
| Cash at End of Period | 11,205,117,000,000 | 7,587,329,000,000 | 4,977,007,000,000 | 5,057,982,000,000 | 2,975,989,000,000 | 2,306,070,000,000 | 2,349,319,000,000 | 2,949,991,000,000 | 613,786,000,000 | 1,175,719,000,000 | 436,761,000,000 | 631,867,000,000 | 658,387,000,000 | 1,243,788,000,000 | 1,247,409,000,000 | 1,209,110,638,000 | 526,864,162,000 | 1,702,296,793,000 | |
| Cash at Beginning of Period | 7,587,329,000,000 | 4,977,007,000,000 | 5,057,982,000,000 | 2,975,989,000,000 | 2,306,070,000,000 | 2,349,319,000,000 | 2,949,991,000,000 | 613,786,000,000 | 1,175,719,000,000 | 436,761,000,000 | 631,867,000,000 | 658,387,000,000 | 1,243,788,000,000 | 1,253,226,000,000 | 1,209,110,000,000 | 526,864,162,000 | 1,702,296,793,000 | 1,842,549,272,000 | |
| Operating Cash Flow | 29,795,885,000,000 | 4,278,191,000,000 | 14,780,517,000,000 | 19,797,648,000,000 | 12,314,571,000,000 | 6,549,736,000,000 | 22,227,199,000,000 | 14,690,614,000,000 | 5,548,922,000,000 | 9,319,520,000,000 | 5,866,691,000,000 | 6,372,056,000,000 | 2,211,651,000,000 | 2,855,960,000,000 | 5,907,758,000,000 | 1,340,381,596,000 | -375,873,701,000 | 3,431,614,136,000 | |
| Capital Expenditure | -16,662,640,000,000 | -8,325,138,000,000 | -19,748,882,000,000 | -13,460,528,000,000 | -10,869,391,000,000 | -14,593,600,000,000 | -16,969,285,000,000 | -9,913,214,000,000 | -6,486,729,000,000 | -7,398,368,000,000 | -5,137,013,000,000 | -3,507,293,000,000 | -3,931,951,000,000 | -3,744,349,000,000 | -3,569,698,000,000 | -1,034,842,817,000 | -2,842,798,950,000 | -5,178,228,340,000 | |
| Free Cash Flow | 13,133,245,000,000 | -4,046,947,000,000 | -4,968,365,000,000 | 6,337,120,000,000 | 1,445,180,000,000 | -8,043,864,000,000 | 5,257,914,000,000 | 4,777,400,000,000 | -937,807,000,000 | 1,921,152,000,000 | 729,678,000,000 | 2,864,763,000,000 | -1,720,300,000,000 | -888,389,000,000 | 2,338,060,000,000 | 305,538,779,000 | -3,218,672,651,000 | -1,746,614,204,000 |