LG Display Co., Ltd. (LPL)
NYSE: LPL · Real-Time Price · USD
3.480
-0.060 (-1.69%)
At close: Jun 27, 2025, 4:00 PM
3.400
-0.080 (-2.30%)
After-hours: Jun 27, 2025, 7:57 PM EDT

LG Display Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Mar '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
981,3762,021,6402,257,5221,824,6493,541,5974,218,099
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Short-Term Investments
10,23511,029907,327276,12526,20810,520
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Trading Asset Securities
139,129186,676136,762119,41714,3149,252
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Cash & Short-Term Investments
1,130,7402,219,3453,301,6112,220,1913,582,1194,237,871
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Cash Growth
-66.52%-32.78%48.71%-38.02%-15.47%25.34%
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Accounts Receivable
3,413,6893,630,7793,222,2232,365,8284,581,6473,523,452
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Other Receivables
195,425250,029126,985389,608730,375838,103
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Receivables
3,633,0073,906,9063,375,5832,785,4985,334,5404,390,046
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Inventory
2,956,0922,671,2422,527,7282,872,9183,350,3752,170,656
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Prepaid Expenses
---74,42067,54063,972
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Other Current Assets
2,505,4061,325,544298,2641,491,008852,493236,925
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Total Current Assets
10,225,24510,123,0379,503,1869,444,03513,187,06711,099,470
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Property, Plant & Equipment
16,374,84817,202,87320,200,33220,946,93320,558,44620,139,703
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Long-Term Investments
221,380224,734207,435317,643229,601130,310
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Goodwill
-29,23324,15723,56148,33945,531
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Other Intangible Assets
1,518,345951,8941,108,3371,164,1771,207,344672,604
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Long-Term Accounts Receivable
2,1603,761-4,14411,35116,322
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Long-Term Deferred Tax Assets
3,474,3893,504,1773,562,8612,645,0772,307,6922,275,514
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Long-Term Deferred Charges
-577,280641,461565,219389,215301,953
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Other Long-Term Assets
166,029231,532478,020516,424195,521370,706
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Total Assets
31,987,80832,859,56635,759,29835,686,01938,154,51535,066,012
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Accounts Payable
3,073,4384,154,4114,172,6344,060,4564,814,0553,779,290
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Accrued Expenses
535,534634,473648,949729,1931,218,456651,880
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Short-Term Debt
2,303,220969,5951,875,6352,578,552613,733394,906
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Current Portion of Long-Term Debt
5,666,5615,523,0343,330,6022,870,0083,402,1002,764,584
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Current Portion of Leases
50,87634,82148,66640,69440,47935,534
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Current Income Taxes Payable
18,03765,36652,237112,429179,33525,004
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Other Current Liabilities
4,251,2834,477,3843,756,3053,570,1883,726,6593,355,750
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Total Current Liabilities
15,898,94915,859,08413,885,02813,961,52013,994,81711,006,948
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Long-Term Debt
7,620,1898,068,25311,386,4189,590,2588,658,89811,076,949
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Long-Term Leases
27,42423,15424,69832,09443,84747,897
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Long-Term Deferred Tax Liabilities
--2,0694,3466,6369,530
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Other Long-Term Liabilities
606,048835,1751,688,982777,043686,227191,762
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Total Liabilities
24,153,76124,786,75926,988,75424,366,79223,392,01422,334,584
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Common Stock
2,500,0002,500,0001,789,0791,789,0791,789,0791,789,079
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Additional Paid-In Capital
2,773,5872,773,5872,251,1132,251,1132,251,1132,251,113
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Retained Earnings
-281,111-18,5122,676,0145,359,7698,541,5217,518,786
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Comprehensive Income & Other
1,281,8821,287,186515,976479,628537,142-163,446
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Total Common Equity
6,274,3586,542,2617,232,1829,879,58913,118,85511,395,532
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Minority Interest
1,559,6891,530,5461,538,3621,439,6381,643,6461,335,896
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Shareholders' Equity
7,834,0478,072,8078,770,54411,319,22714,762,50112,731,428
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Total Liabilities & Equity
31,987,80832,859,56635,759,29835,686,01938,154,51535,066,012
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Total Debt
15,668,27014,618,85716,666,01915,111,60612,759,05714,319,870
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Net Cash (Debt)
-14,537,530-12,399,512-13,364,408-12,891,415-9,176,938-10,081,999
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Net Cash Per Share
-29065.88-26311.83-35087.81-36028.09-23011.11-28176.51
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Filing Date Shares Outstanding
500500357.82357.82357.82357.82
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Total Common Shares Outstanding
500500357.82357.82357.82357.82
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Working Capital
-5,673,704-5,736,047-4,381,842-4,517,485-807,75092,522
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Book Value Per Share
12548.7213084.5220212.0327610.8336663.7231847.49
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Tangible Book Value
4,756,0135,561,1346,099,6888,691,85111,863,17210,677,397
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Tangible Book Value Per Share
9512.0311122.2717047.0124291.4233154.4229840.49
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Land
-426,342472,813476,045433,847442,822
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Buildings
-10,038,8549,745,2788,252,1478,373,8637,304,258
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Machinery
-51,990,25151,176,79949,817,41849,911,87847,575,670
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Construction In Progress
-3,289,7187,286,0619,789,7106,791,5986,045,727
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Updated Mar 4, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q