SKM trades at Wall Street's consensus target of —.
Last 12 months price action with 12-month analyst target path
The base valuation assumes SKM achieves its forward estimates and maintains a stable P/E multiple of 0.0x. This scenario reflects the blended consensus of 7 Wall Street analysts, balancing both positive catalysts and macroeconomic headwinds over the next 12 months.
As of June 21, 2026, SK Telecom Co.,Ltd (SKM) has a Wall Street consensus price target of N/A, based on estimates from 7 covering analysts. The company has a market capitalization of $13.90B.
Analyst price targets range from a low of N/A to a high of N/A.
The current analyst consensus rating is Hold, with 2 analysts rating the stock as a Buy or Strong Buy,4 rating it Hold, and 1 rating it Sell or Strong Sell. The bearish sentiment suggests caution about the stock at current levels.
From a valuation perspective, SKM trades at a trailing P/E of 54.2x and forward P/E of 0.0x. Analysts expect EPS to grow +957.6% over the next year.
Our proprietary valuation model, which blends historical multiples with forward estimates, suggests a base-case price target of $61486.19, with bear and bull scenarios of $38736.30 and $81014.21 respectively. Model confidence stands at 41/100, suggesting limited visibility into future performance.
| Company | Market Cap | Price | Target | Upside Potential | Rating | Fwd P/E | Analysts |
|---|---|---|---|---|---|---|---|
KTKT Corporation | $8.8B | $18.32 | — | — | Buy | 0.0x | 5 |
VIVTelefônica Brasil S.A. | $20.1B | $12.59 | $15.27 | +21.3% | Hold | 2.4x | 12 |
CHAChagee Holdings Limited American Depositary Shares | $2.2B | $11.65 | $13.17 | +13.0% | Buy | 1.3x | 15 |
PHIPLDT Inc. | $3.8B | $17.46 | — | — | Hold | 0.1x | 4 |
TAT&T Inc. | $153.7B | $22.01 | $29.32 | +33.2% | Hold | 9.5x | 62 |
VZVerizon Communications Inc. | $191.4B | $45.37 | $51.56 | +13.6% | Hold | 9.2x | 60 |
TMUST-Mobile US, Inc. | $196.6B | $181.67 | $248.45 | +36.8% | Buy | 17.4x | 54 |
LUMNLumen Technologies, Inc. | $8.4B | $8.20 | $7.63 | -7.0% | Hold | — | 28 |
TDSTelephone and Data Systems, Inc. | $4.2B | $39.59 | $27.67 | -30.1% | Buy | 30.3x | 7 |
QCOMQUALCOMM Incorporated | $238.3B | $226.11 | $191.05 | -15.5% | Hold | 21.1x | 69 |
Quick answers to the most common questions about buying SKM stock.
The consensus price target for SKM is $N/A, close to the current price of $36.21 (N/A% implied move). Based on 7 analyst estimates, the stock appears fairly valued near current levels.
SKM has a consensus rating of "Hold" based on 7 Wall Street analysts. The rating breakdown is mixed, with 4 Hold ratings making up the largest segment. The consensus 12-month price target of $N/A implies N/A% upside from current levels.
With a forward P/E of 0.0034x, SKM trades at a relatively low valuation. The consensus target of $N/A implies N/A% appreciation, suggesting the market may be pricing in risks.
The most bullish Wall Street analyst has a price target of $N/A for SKM, while the most conservative target is $N/A. The consensus of $N/A represents the median expectation. Our quantitative valuation model projects a bull case target of $81014 based on optimistic growth and margin assumptions. These targets typically reflect 12-month expectations.
SKM is moderately covered, with 7 analysts providing price targets and ratings. Of these, 0 have Strong Buy ratings, 2 have Buy ratings, 4 recommend Hold, and 1 have Sell or Strong Sell ratings. Higher analyst coverage generally indicates greater institutional interest and more reliable consensus estimates.
The 12-month SKM stock forecast based on 7 Wall Street analysts shows a consensus price target of $N/A, with estimates ranging from $N/A (bear case) to $N/A (bull case). The median consensus rating is "Hold". Our proprietary valuation model produces a base case fair value of $61486, with bear/bull scenarios of $38736/$81014.
Our quantitative valuation model calculates SKM's fair value at $61486 (base case), with a bear case of $38736 and bull case of $81014. The model uses discounted cash flow analysis, historical growth rates, and margin mean-reversion to project FY+2 earnings, then applies an appropriate P/E multiple. The model confidence score is 41/100.
SKM trades at a forward P/E ratio of 0.0x based on next-twelve-months earnings estimates compared to a trailing P/E of 54.2x. The lower forward P/E indicates analysts expect earnings growth. A forward P/E is useful for comparing valuations when earnings are expected to change significantly.
SKM appears fairly valued according to analysts, with a "Hold" rating and minimal upside to the $N/A target. Consider your investment thesis and risk tolerance. This information is for educational purposes only. Always conduct your own research, consider your financial situation, and consult a financial advisor before making investment decisions.
SKM analyst price targets range from $N/A to $N/A, a NaN% tight range reflecting strong analyst consensus. Differences stem from varying assumptions about revenue growth, profit margins, competitive dynamics, and valuation multiples. The $N/A consensus represents the middle ground. Our model's $38736-$81014 range provides an independent fundamental perspective.
Deep dive into SKM consensus models and risk factors.
DCF models, multiple analysis, and analyst estimates.
10-year return with dividends reinvested.
See how regular investing compounds over time.
Compare growth, multiples, and margins vs sector.