Company: SK Hynix Inc. Market: KOSPI (Korea) Symbol: KS000660 ISIN: KR7000660001

SK Hynix, headquartered in Icheon, Korea, is a Global semiconductor solution provider that mainly manufactures memory semiconductor products such as DRAM, NAND Flash and MCP (Multi-chip Package) with expansion into non-memory business through production of CIS (CMOS Image Sensor), etc. SK Hynix has 4 manufacturing sites located in Icheon & Cheongju in Korea, and Wuxi & Chongqing in China, runs global sales offices in 10 major countries and 4 R&D centers in Italy, United States, Taiwan and Belarus.

With the trend of IT devices getting smarter and having more enhanced mobility functions, more advanced semiconductor specifications are being required. With 30 years of expertise in semiconductor production and operation, SK Hynix is dedicated to continuous R&D and investment to achieve cost competitiveness and technological leadership in the global semiconductor market. In particular, we are focused on profit-oriented management and qualitative growth in the increasingly important markets of mobile, server and storage solutions. In preparation of the future, SK Hynix is also focused on developing next-generation memory technologies such as PC RAM, STT-MRAM and ReRAM.

The Company stock is listed on the Korea Exchange and its DR (depositary receipts) is listed on the Luxembourg Stock Exchange with 1:1 ratio with original shares.

Share Graph

Share Price Information 13/09/2019
Currency KRW Volume 3,650,902
Previous Closing Price 82,600 Number of Shares 728,002,365
Change (%) 0 Market Cap (Bil. KRW) 60,133

Key figures 2016 2017 2018
Financial indicators (Bil. KRW)
Revenue 17,198 30,109 40,445
Gross Profit 6,411 17,408 25,264
Operating Profit 3,277 13,721 20,844
EBITDA* 7,727 18,740 27,262
Net Profit 2,960 10,642 15,540
Assets 32,216 45,418 63,658
Cash** 4,136 8,555 8,369
Liabilities 8,192 11,598 16,806
Debt*** 4,336 4,171 5,282
Shareholders’ Equity 24,024 33,821 46,852
Key Ratios (%)
Gross Margin 37 58 62
OP Margin 19 46 52
EBITDA Margin 45 62 67
Net Margin 17 35 38
Basic EPS (in won) 4,184 15,073 22,255
Debt-to-Equity Ratio 18 12 11
Net Debt-to-Equity Ratio 1 -13 -7

Notes: * EBITDA = Operating Profit+ Depreciation & Amortization
  ** Cash = Cash & Cash Equivalents + Short-term Financial Instruments
  *** Debt = Short-term Borrowings + Current portion of Long-term Borrowings + Debentures + Long-term Borrowings

 






Share Graph


Share Data 13/09/2019
Currency KRW
Previous Close 82,600
Change (%) 0
Volume 3,650,902
Number of Shares 728,002,365
Market Cap (mil) 601,329.95

Key figures 2016 2017 2018
Financial indicators (Bil. KRW)
Revenue 17,198 30,109 40,445
Gross Profit 6,411 17,408 25,264
Operating Profit 3,277 13,721 20,844
EBITDA* 7,727 18,740 27,262
Net Profit 2,960 10,642 15,540
Assets 32,216 45,418 63,658
Cash** 4,136 8,555 8,369
Liabilities 8,192 11,598 16,806
Debt*** 4,336 4,171 5,282
Shareholders’ Equity 24,024 33,821 46,852
Key Ratios (%)
Gross Margin 37 58 62
OP Margin 19 46 52
EBITDA Margin 45 62 67
Net Margin 17 35 38
Basic EPS (in won) 4,184 15,073 22,255
Debt-to-Equity Ratio 18 12 11
Net Debt-to-Equity Ratio 1 -13 -7

Notes: * EBITDA = Operating Profit+ Depreciation & Amortization
  ** Cash = Cash & Cash Equivalents + Short-term Financial Instruments
  *** Debt = Short-term Borrowings + Current portion of Long-term Borrowings + Debentures + Long-term Borrowings