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Investor Relations

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Financial Statements

Consolidated Cash Flow Statement

※ Unit : KRW 100 million

This is a table of SK Inc.'s 2021 Consolidated cash flow statement. It provides information according to the year and item.
2021 Cash Flows from Operating Activities 61,252
Cash Flows from Investing Activities (마이너스)154,325
Cash Flows from Financing Activities 115,979
Increase (or Decrease) in Cash and Cash Equivalents 22,906
Beginning Cash and Cash Equivalents 100,969
Cash Fluctuations from Foreign Exchange 1,364
Cash and cash equivalents included in assets held for sale (마이너스)2,064
Ending Cash and Cash Equivalents 123,175