SK hynix Inc.
HY9H.F
FSX
343
EUR-7.00(-2.00%)
As of today
SK hynix Inc. fundamentals
Key ratios
Statements Highlights
| Period Ending | Dec 31, 2020 | Dec 31, 2021 | Dec 31, 2022 | Dec 31, 2023 | Dec 31, 2024 | |
|---|---|---|---|---|---|---|
| Total Revenue | 31,900,418,000,000 | 42,997,792,000,000 | 44,621,568,000,000 | 27,639,997,000,000 | 66,192,960,000,000 | |
| Gross Profit | 10,810,629,000,000 | 18,952,192,000,000 | 15,627,855,000,000 | 447,119,000,000 | 31,828,146,000,000 | |
| Operating Income | 5,012,624,000,000 | 12,410,340,000,000 | 6,809,417,000,000 | -4,672,124,000,000 | 23,467,319,000,000 | |
| Net Income | 4,755,102,000,000 | 9,602,316,000,000 | 2,229,560,000,000 | -4,836,170,000,000 | 19,788,681,000,000 | |
| Total Assets | 71,173,853,000,000 | 96,386,474,000,000 | 103,871,512,000,000 | 92,949,387,000,000 | 119,855,209,000,000 | |
| Total Current Liabilities | 9,072,360,000,000 | 14,769,356,000,000 | 19,843,696,000,000 | 16,197,793,000,000 | 24,965,444,000,000 | |
| Total Equity | 51,909,097,000,000 | 62,191,058,000,000 | 63,290,542,000,000 | 54,518,322,000,000 | 73,915,704,000,000 | |
| Free Cash Flow | 1,445,180,000,000 | 6,337,120,000,000 | -4,968,365,000,000 | -3,550,682,000,000 | 13,133,245,000,000 | |
| Cash from Operations | 12,314,571,000,000 | 19,797,648,000,000 | 14,780,517,000,000 | 3,591,547,000,000 | 29,795,885,000,000 | |
| Cash from Investing | -11,840,393,000,000 | -22,392,277,000,000 | -17,883,746,000,000 | -9,232,773,000,000 | -18,004,637,000,000 | |
| Cash from Financing | 252,054,000,000 | 4,492,313,000,000 | 2,821,796,000,000 | 6,927,433,000,000 | -8,703,940,000,000 | |
| Net Change in Cash | 669,919,000,000 | 2,081,993,000,000 | -80,975,000,000 | 1,260,724,000,000 | 3,617,788,000,000 |