SKC
| Market cap | ₩5.3T |
| PE ratio | – |
| Forward PE | – |
| PB ratio | 2.45 |
| EPS | −₩20,562 |
| Dividend (yield) | – |
| Analysts (1–5) | 3.50 · Buy |
| Price target | ₩99,000 (−7.04%) |
| Volume | 618,862 |
| Trading value | ₩66.9B |
| Day’s range | ₩103,100 – ₩113,800 |
| 52-week range | ₩61,100 – ₩184,400 |
| Foreign ownership KR | 10.45% |
| Foreign net buy (Oct 2) KR | −50,551 sh |
| Book value / share | ₩43,545 |
| Founded | 1973 |
Close (KRW) Foreign ownership, % of shares (right axis)
Foreign, institutional and retail net buying KR data
Shares by trading day; positive means net buying. Korea publishes investor-type flows for every stock — global sites such as Yahoo or StockAnalysis do not show them.
| Date | Close | Foreigners | Institutions | Retail | Foreign ownership |
|---|---|---|---|---|---|
| Oct 2 | ₩106,500 | −50,551 | +109,162 | −53,455 | 10.35% |
| Oct 1 | ₩104,800 | −76,034 | +142,971 | −68,853 | 10.45% |
| Sep 30 | ₩99,300 | +7,970 | +36,012 | −49,568 | 10.61% |
| Sep 29 | ₩92,000 | −14,560 | +11,496 | +1,399 | 10.60% |
| Sep 28 | ₩91,600 | +19,020 | +5,878 | −25,328 | 10.59% |
Financials
Annual, consolidated where available, KRW. Columns ending in E are analyst consensus estimates. Source: company filings (DART) via Naver Finance.
| Item | FY2023 | FY2024 | FY2025 | FY2026E |
|---|---|---|---|---|
| Revenue | ₩1.5T | ₩1.7T | ₩1.8T | ₩2.5T |
| Operating income | −₩213.7B | −₩275.8B | −₩305.0B | −₩68.8B |
| Net income | −₩326.4B | −₩455.1B | −₩719.4B | −₩300.5B |
| Operating margin | −14.31% | −16.05% | −16.58% | −2.77% |
| Return on equity | −17.57% | −34.34% | −73.28% | −44.98% |
| Debt-to-equity | 178.57% | 194.35% | 232.74% | – |
| EPS | −₩7,276 | −₩11,711 | −₩19,393 | −₩6,934 |
| Dividend per share | – | – | – | – |
Peers
| LG Chem 051910 | ₩262,500 | +2.14% |
| POSCO Future M 003670 | ₩186,900 | +2.30% |
| Ecopro 086520 | ₩88,900 | +4.47% |
| OCI Holdings 010060 | ₩236,500 | +7.01% |
| Hansol Chemical 014680 | ₩274,000 | −1.79% |
| Kumho Petro Chemical 011780 | ₩117,400 | +1.38% |
About
SKC is an SK Group materials company. It makes battery copper foil for rechargeable batteries, chemicals such as PO and PG, and semiconductor materials including test sockets and glass substrates. In 2025 it sold its CMP and thin-film businesses and absorbed an affiliate to simplify its structure. Founded in 1973, it listed on the KOSPI in 1997.
SKC Ltd is listed on the KOSPI market of the Korea Exchange under the ticker 011790. Industry: Chemicals.
Direct KRX access through a global broker, a US-listed ADR where one exists, or a Korea ETF — compared in our guide.
Data: Korea Exchange closing prices, investor flows and foreign ownership via Naver Finance; company information from DART (Financial Supervisory Service). Updated after each Korean market close; ratios and flows as of Oct 2, 2026. Delayed data, not investment advice.