SK hynix

SKHY · NASDAQ · USD

195,13 $Variación respecto al cierre anterior: +0,84 %Variación absoluta: +1,63 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+46,76 %
2025 frente a 2024
Crecimiento del beneficio neto
+116,89 %
2025 frente a 2024
Margen neto
44,2 %
2024: 29,9 %

Datos financieros

Importes en millones de KRW; valores por acción en KRW; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total348.862.214222.828.744176.107.659148.435.030129.087.781123.985.470119.855.209108.367.058105.624.349103.197.515100.330.165102.049.450
Activo corriente156.155.954106.506.11669.458.07357.139.55645.069.53741.228.19042.278.88736.419.10434.736.07032.996.62430.468.10030.393.967
Efectivo y equivalentes26.835.98621.166.90414.923.76610.814.5159.075.31112.558.06911.205.1179.135.6887.933.8298.381.3957.587.3297.122.306
Inversiones a corto plazo22.420.61918.251.84614.874.97813.487.3466.342.6601.270.1162.427.319507.532736.683935.4211.187.539515.346
Cuentas por cobrar48.284.13134.258.51718.562.44714.517.16213.256.21110.779.40213.275.37210.693.20110.450.6227.496.5217.601.9525.823.463
Existencias17.985.70615.974.13314.289.39013.156.38913.408.33314.551.35013.313.93713.353.86513.354.93813.844.63913.480.65914.947.895
Inmovilizado material neto91.277.04284.405.60079.839.16170.457.37166.822.54765.415.74162.644.34557.108.03455.741.37555.879.84655.399.69756.700.866
Fondo de comercio——807.523———848.828———803.348—
Otros activos intangibles4.283.1314.050.6172.610.1043.953.9453.945.1413.962.7002.456.3773.926.4663.839.8803.829.9412.620.5523.551.901
Inversiones a largo plazo93.746.10022.013.91015.868.02610.923.6817.622.5487.982.9685.981.9395.550.2235.370.5975.451.7425.541.2696.902.210
Pasivo corriente60.257.05140.700.53037.378.99929.769.43125.324.40424.836.40124.965.44422.756.42023.071.09923.401.23321.007.81020.250.122
Proveedores3.043.2392.797.8402.848.4552.270.3861.862.4171.875.1672.277.3471.889.9262.093.2221.747.2051.845.5371.916.761
Deuda a largo plazo12.727.76113.426.72514.086.14814.828.74513.319.57614.254.06317.431.49516.703.94518.953.61720.660.67119.611.44320.328.737
Deuda total18.448.72019.310.10922.362.05124.403.72918.768.11323.965.62924.168.62122.806.32626.532.31729.436.639——
Pasivo total86.168.98658.448.94555.440.90848.428.75141.945.29642.546.71745.939.50543.065.53845.794.32947.690.11346.826.41346.817.890
Patrimonio neto (incl. minoritarios)262.693.228164.379.799120.666.751100.006.27987.142.48581.438.75373.915.70465.301.52059.830.02055.507.40253.503.75255.231.560
Reservas242.269.723148.746.385106.576.54891.690.72479.357.90672.621.87365.418.06157.842.34452.301.63748.391.71046.729.31348.287.780
Intereses minoritarios312.61888.717150.57320.77515.32514.74212.3101.366-3.283-2.833-53329.285