SK TELECOM CO LTD | CIK:0001015650 | 3

  • Filed: 5/4/2018
  • Entity registrant name: SK TELECOM CO LTD (CIK: 0001015650)
  • Generator: Donnelley Financial Solutions
  • SEC filing page: http://www.sec.gov/Archives/edgar/data/1015650/000119312518151612/0001193125-18-151612-index.htm
  • XBRL Instance: http://www.sec.gov/Archives/edgar/data/1015650/000119312518151612/skm-20171231.xml
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  • ifrs-full:DisclosureOfDebtSecuritiesExplanatory

    Debentures as of December 31, 2017 and 2016 are as follows:

     

    (In millions of won, thousands of U.S. dollars and thousands of other currencies)  
       

    Purpose

      Maturity   Annual interest
    rate (%)
      December 31,
    2017
        December 31,
    2016
     

    Unsecured corporate bonds

      Other fund   2018   5.00   200,000       200,000  

    Unsecured corporate bonds

      Operating fund   2021   4.22     190,000       190,000  

    Unsecured corporate bonds

      Operating and refinancing fund   2019   3.24     170,000       170,000  

    Unsecured corporate bonds

        2022   3.30     140,000       140,000  

    Unsecured corporate bonds

        2032   3.45     90,000       90,000  

    Unsecured corporate bonds

      Operating fund   2023   3.03     230,000       230,000  

    Unsecured corporate bonds

        2033   3.22     130,000       130,000  

    Unsecured corporate bonds

        2019   3.30     50,000       50,000  

    Unsecured corporate bonds

        2024   3.64     150,000       150,000  

    Unsecured corporate bonds(*1)

        2029   4.72     60,278       59,600  

    Unsecured corporate bonds

      Refinancing fund   2019   2.53     160,000       160,000  

    Unsecured corporate bonds

        2021   2.66     150,000       150,000  

    Unsecured corporate bonds

        2024   2.82     190,000       190,000  

    Unsecured corporate bonds

      Operating and refinancing fund   2022   2.40     100,000       100,000  

    Unsecured corporate bonds

      refinancing fund   2025   2.49     150,000       150,000  

    Unsecured corporate bonds

        2030   2.61     50,000       50,000  

    Unsecured corporate bonds

      Operating fund   2018   1.89     90,000       90,000  

    Unsecured corporate bonds

        2025   2.66     70,000       70,000  

    Unsecured corporate bonds

        2030   2.82     90,000       90,000  

    Unsecured corporate bonds

     

    Operating and

    refinancing fund

      2018   2.07     80,000       80,000  

    Unsecured corporate bonds

        2025   2.55     100,000       100,000  

    Unsecured corporate bonds

        2035   2.75     70,000       70,000  

    Unsecured corporate bonds

      Operating fund   2019   1.65     70,000       70,000  

    Unsecured corporate bonds

        2021   1.80     100,000       100,000  

    Unsecured corporate bonds

        2026   2.08     90,000       90,000  

    Unsecured corporate bonds

        2036   2.24     80,000       80,000  

    Unsecured corporate bonds

        2019   1.62     50,000       50,000  

    Unsecured corporate bonds

        2021   1.71     50,000       50,000  

    Unsecured corporate bonds

        2026   1.97     120,000       120,000  

    Unsecured corporate bonds

        2031   2.17     50,000       50,000  

    Unsecured corporate bonds

      Refinancing fund   2020   1.93     60,000        

    Unsecured corporate bonds

        2022   2.17     120,000        

    Unsecured corporate bonds

        2027   2.55     100,000        

    Unsecured corporate bonds

      Operating and refinancing fund   2032   2.65     90,000        

    Unsecured corporate bonds

      Operating fund   2020   2.39     100,000        

    Unsecured corporate bonds

      Operating and refinancing fund   2022   2.63     80,000        

    Unsecured corporate bonds

      Refinancing fund   2027   2.84     100,000        

    Unsecured corporate bonds(*2)

      Operating fund   2017   4.28           100,000  

    Unsecured corporate bonds(*2)

        2017   3.27           120,000  

    Unsecured corporate bonds(*2)

        2019   3.49     210,000       210,000  

    Unsecured corporate bonds(*2)

        2019   2.76     130,000       130,000  

    Unsecured corporate bonds(*2)

        2018   2.23     50,000       50,000  

    Unsecured corporate bonds(*2)

        2020   2.49     160,000       160,000  

    Unsecured corporate bonds(*2)

        2020   2.43     140,000       140,000  

    Unsecured corporate bonds(*2)

        2020   2.18     130,000       130,000  

    Unsecured corporate bonds(*2)

        2019   1.58     50,000       50,000  

    Unsecured corporate bonds(*2)

     

    Operating and

    refinancing fund

      2021   1.77     120,000       120,000  

    Unsecured corporate bonds(*2)

      Operating fund   2022   2.26     150,000        

    Unsecured corporate bonds(*2)

      Refinancing fund     2022       2.34       30,000        

    Unsecured corporate bonds(*2)

     

    Operating and

    refinancing fund

        2022       2.70       140,000        

    Unsecured corporate bonds(*3)

      Operating fund     2017       3.48             20,000  

    Convertible bonds(*4)

          2019       1.00       5,558        

    Unsecured global bonds

          2027       6.63       428,560       483,400  
              (USD 400,000     (USD 400,000

    Unsecured private Swiss bonds

          2017       1.75             354,399  

    bonds

                (CHF 300,000

    Unsecured global bonds

          2018       2.13       749,980       845,950  
              (USD 700,000     (USD 700,000

    Unsecured corporate Australian bonds

          2017       4.75             261,615  
                (AUD 300,000

    Floating rate notes(*5)

          2020       3M Libor + 0.88       321,420       362,550  
              (USD 300,000)       (USD 300,000

    Foreign global bonds(*2)

          2018       2.88       321,420       362,550  
              (USD 300,000     (USD 300,000
           

     

     

       

     

     

     

    Sub-total

              7,107,216       7,220,064  

    Less discounts on bonds

              (21,029     (25,858
           

     

     

       

     

     

     
              7,086,187       7,194,206  

    Less current portion of bonds

              (1,489,617     (855,276
           

     

     

       

     

     

     
            5,596,570       6,338,930  
           

     

     

       

     

     

     

     

     

    (*1) The Group eliminated a measurement inconsistency of accounting profit or loss between the bonds and related derivatives by designating the structured bonds as financial liabilities at fair value through profit or loss. The carrying amount of financial liabilities designated at fair value through profit or loss exceeds the principal amount required to pay at maturity by ₩10,278 million as of December 31, 2017.

     

    (*2) Unsecured corporate bonds were issued by SK Broadband Co., Ltd.

     

    (*3) Unsecured corporate bonds were issued by PS&Marketing Corporation.

     

    (*4) During the year ended December 31, 2017, the Parent Company sold the convertible bonds issued by IRIVER LIMITED to third parties.

     

    (*5) As of December 31, 2017, 3M LIBOR rate is 1.69%.