
LG Display (LPL) Financial Statements
Price: $3.135
Market Cap: $3.14B
Avg Volume: 184.10K
Market Cap: $3.14B
Avg Volume: 184.10K
Country: KR
Industry: Consumer Electronics
Sector: Technology
Industry: Consumer Electronics
Sector: Technology
Overview of Financial Statements
Financial statements are records that provide an overview of a company's financial performance and position. There are three main types of financial statements:
- Income Statement: Shows the company's revenue, expenses, and profit over a specific period.
- Balance Sheet: Provides a snapshot of the company's assets, liabilities, and equity at a specific point in time.
- Cash Flow Statement: Details the cash inflows and outflows from operating, investing, and financing activities over a period.
This page presents both annual and quarterly data for these financial statements. The charts below provide a visual representation of the key metrics from each statement, helping you to quickly understand the financial health of LG Display .
Income Statement
Breakdown | December 31, 2024 | December 31, 2023 | December 31, 2022 | December 31, 2021 | December 31, 2020 | December 31, 2019 | December 31, 2018 | December 31, 2017 | December 31, 2016 | December 31, 2015 |
---|---|---|---|---|---|---|---|---|---|---|
Revenue | $26.62T | $21.33T | $26.15T | $29.88T | $24.23T | $23.48T | $24.34T | $27.79T | $26.50T | $28.38T |
Cost of Revenue | $24.04T | $20.99T | $25.03T | $24.57T | $21.59T | $21.61T | $21.25T | $22.42T | $22.75T | $24.07T |
Gross Profit | $2.58T | $345.18B | $1.12T | $5.31T | $2.64T | $1.87T | $3.09T | $5.37T | $3.75T | $4.31T |
Gross Profit Ratio | 9.68% | 1.60% | 4.30% | 17.80% | 10.91% | 7.96% | 12.68% | 19.31% | 14.15% | 15.20% |
Research and Development Expenses | $1.45T | $1.38T | $1.38T | $1.22T | $1.10T | $1.22T | $1.22T | $1.21T | $1.13T | $1.22T |
General and Administrative Expenses | $9.31B | $1.07T | $931.12B | $919.41B | $755.34B | $947.98B | $938.21B | $696.02B | $884.25B | $864.28B |
Selling and Marketing Expenses | $546.13B | $76.40B | $895.60B | $933.04B | $817.61B | $1.06T | $832.96B | $994.48B | $260.42B | $456.86B |
Selling General and Administrative Expenses | $1.36T | $1.15T | $1.83T | $1.85T | $1.57T | $2.01T | $1.77T | $1.69T | $1.14T | $1.32T |
Other Expenses | $- | $330.51B | $248.20B | $14.40B | $40.51B | $27.52B | $6.81B | $10.75B | $32.28B | $34.26B |
Operating Expenses | $2.81T | $2.86T | $3.21T | $3.07T | $2.67T | $3.23T | $2.99T | $2.90T | $2.44T | $2.69T |
Cost and Expenses | $26.85T | $23.84T | $28.24T | $27.65T | $24.26T | $24.83T | $24.24T | $25.33T | $25.19T | $26.76T |
Interest Income | $- | $77.89B | $85.62B | $88.89B | $69.65B | $53.38B | $69.02B | $60.11B | $42.08B | $57.08B |
Interest Expense | $- | $723.43B | $414.52B | $434.09B | $370.48B | $172.75B | $80.52B | $90.54B | $114.52B | $127.60B |
Depreciation and Amortization | $5.13T | $4.21T | $4.56T | $4.50T | $4.13T | $3.70T | $3.55T | $3.21T | $3.02T | $3.38T |
EBITDA | $4.57T | $1.60T | $638.00M | $6.34T | $3.90T | $1.70B | $3.26T | $5.67T | $4.00T | $4.63T |
EBITDA Ratio | 17.15% | 7.49% | 10.75% | 22.67% | 17.29% | 10.05% | 15.29% | 20.71% | 16.66% | 18.01% |
Operating Income | $-231.06B | $-2.51T | $-1.75T | $2.23T | $55.12B | $-1.33T | $92.89B | $2.46T | $1.31T | $1.63T |
Operating Income Ratio | -0.87% | -11.77% | -6.68% | 7.47% | 0.23% | -5.69% | 0.38% | 8.86% | 4.95% | 5.73% |
Total Other Income Expenses Net | $-1.96T | $-829.28B | $-1.69T | $-511.72B | $-487.06B | $-1.98T | $-183.16B | $-128.99B | $5.79B | $-191.52B |
Income Before Tax | $-2.19T | $-3.34T | $-3.43T | $1.72T | $-595.10B | $-3.34T | $-91.37B | $2.33T | $1.32T | $1.43T |
Income Before Tax Ratio | -8.23% | -15.66% | -13.13% | 5.75% | -2.46% | -14.25% | -0.38% | 8.39% | 4.97% | 5.05% |
Income Tax Expense | $217.76B | $-762.71B | $-237.78B | $385.34B | $-524.46B | $-472.16B | $88.08B | $395.58B | $384.73B | $410.53B |
Net Income | $-2.56T | $-2.73T | $-3.20T | $1.19T | $-70.64B | $-2.87T | $-207.24B | $1.80T | $906.71B | $966.55B |
Net Income Ratio | -9.63% | -12.82% | -12.22% | 3.97% | -0.29% | -12.23% | -0.85% | 6.49% | 3.42% | 3.41% |
EPS | $-5438.00 | $-3531.97 | $-4298.61 | $1522.22 | $-90.65 | $-3685.72 | $-289.59 | $2519.00 | $1267.02 | $1350.63 |
EPS Diluted | $-5438.00 | $-3531.97 | $-4298.61 | $1437.05 | $-90.65 | $-3685.72 | $-289.59 | $2519.00 | $1267.00 | $1350.50 |
Weighted Average Shares Outstanding | 471.24M | 774.00M | 743.40M | 779.24M | 779.24M | 779.24M | 715.63M | 715.66M | 715.63M | 715.63M |
Weighted Average Shares Outstanding Diluted | 471.24M | 774.00M | 743.40M | 868.51M | 779.24M | 779.24M | 715.63M | 715.66M | 715.64M | 715.70M |
SEC Filing | Source | Source | Source | Source | Source | Source | Source | Source | Source | Source |
Balance Sheet
Breakdown | December 31, 2024 | December 31, 2023 | December 31, 2022 | December 31, 2021 | December 31, 2020 | December 31, 2019 | December 31, 2018 | December 31, 2017 | December 31, 2016 | December 31, 2015 |
---|---|---|---|---|---|---|---|---|---|---|
Cash and Cash Equivalents | $2.02T | $2.26T | $1.82T | $3.54T | $4.22T | $3.34T | $2.37T | $2.60T | $1.56T | $751.66B |
Short Term Investments | $11.03B | $2.26B | $276.12B | $27.78B | $10.52B | $11.09B | $21.44B | $768.56B | $1.19T | $1.78T |
Cash and Short Term Investments | $2.03T | $2.40T | $2.10T | $3.57T | $4.23T | $3.35T | $2.39T | $3.37T | $2.75T | $2.53T |
Net Receivables | $3.63T | $3.22T | $2.37T | $4.58T | $3.52T | $3.16T | $2.83T | $4.33T | $4.96T | $4.10T |
Inventory | $2.67T | $2.53T | $2.87T | $3.35T | $2.17T | $2.05T | $2.69T | $2.35T | $2.29T | $2.35T |
Other Current Assets | $1.15T | $1.15T | $1.99T | $1.67T | $1.17T | $1.66T | $880.24B | $427.38B | $568.03B | $626.78B |
Total Current Assets | $9.48T | $9.50T | $9.44T | $13.19T | $11.10T | $10.25T | $8.80T | $10.47T | $10.48T | $9.53T |
Property Plant Equipment Net | $17.20T | $20.20T | $20.95T | $20.56T | $20.15T | $22.09T | $21.60T | $16.20T | $12.03T | $10.55T |
Goodwill | $29.23B | $24.16B | $50.52B | $48.34B | $45.53B | $47.42B | $104.31B | $103.05B | $110.07B | $104.45B |
Intangible Assets | $951.89B | $1.11T | $1.70T | $1.60T | $974.56B | $826.03B | $883.33B | $809.77B | $784.87B | $734.27B |
Goodwill and Intangible Assets | $981.13B | $1.13T | $1.75T | $1.64T | $1.02T | $873.45B | $987.64B | $912.82B | $894.94B | $838.73B |
Long Term Investments | $155.16B | $174.49B | $224.60B | $282.93B | $152.45B | $221.12B | $258.20B | $181.50B | $247.32B | $434.49B |
Tax Assets | $- | $15.92B | $2.65T | $2.31T | $2.27T | $1.73T | $1.14T | $985.35B | $867.01B | $930.63B |
Other Non-Current Assets | $5.04T | $4.73T | $672.41B | $173.48B | $378.79B | $416.91B | $393.44B | $404.35B | $359.44B | $295.66B |
Total Non-Current Assets | $23.38T | $26.26T | $26.24T | $24.97T | $23.97T | $25.33T | $24.38T | $18.69T | $14.40T | $13.05T |
Other Assets | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Assets | $32.86T | $35.76T | $35.69T | $38.15T | $35.07T | $35.57T | $33.18T | $29.16T | $24.88T | $22.58T |
Account Payables | $4.16T | $4.17T | $4.06T | $4.81T | $3.78T | $2.62T | $3.09T | $2.88T | $2.88T | $2.76T |
Short Term Debt | $6.52T | $5.23T | $5.49T | $4.06T | $3.20T | $1.98T | $1.55T | $1.45T | $667.91B | $1.42T |
Tax Payables | $- | $52.24B | $112.43B | $179.34B | $25.00B | $120.03B | $105.90B | $321.98B | $257.08B | $91.73B |
Deferred Revenue | $- | $26.19B | $65.07B | $67.05B | $333.82B | $970.00B | $878.02B | $206.35B | $70.59B | $60.97B |
Other Current Liabilities | $5.03T | $4.41T | $4.30T | $4.95T | $4.01T | $6.27T | $5.21T | $4.33T | $3.26T | $2.33T |
Total Current Liabilities | $15.71T | $13.89T | $13.96T | $13.99T | $11.01T | $10.98T | $9.95T | $8.98T | $7.06T | $6.61T |
Long Term Debt | $8.08T | $11.37T | $9.62T | $8.70T | $11.12T | $11.61T | $7.03T | $4.15T | $4.11T | $2.81T |
Deferred Revenue Non-Current | $- | $- | $- | $96.86B | $199.88B | $327.43B | $1.12T | $830.34B | $- | $- |
Deferred Tax Liabilities Non-Current | $- | $- | $4.35B | $6.64B | $9.53B | $11.21B | $15.09B | $24.65B | $32.11B | $34.66B |
Other Non-Current Liabilities | $993.02B | $1.73T | $782.92B | $597.59B | $202.79B | $488.40B | $1.30T | $1.05T | $252.40B | $457.29B |
Total Non-Current Liabilities | $9.08T | $13.10T | $10.41T | $9.40T | $11.33T | $12.10T | $8.33T | $5.20T | $4.36T | $3.27T |
Other Liabilities | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Total Liabilities | $24.79T | $26.99T | $24.37T | $23.39T | $22.33T | $23.09T | $18.29T | $14.18T | $11.42T | $9.87T |
Preferred Stock | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Common Stock | $2.50T | $1.79T | $1.79T | $1.79T | $1.79T | $1.79T | $1.79T | $1.79T | $1.79T | $1.79T |
Retained Earnings | $-18.51B | $2.68T | $5.36T | $8.54T | $7.52T | $7.50T | $10.24T | $10.62T | $9.00T | $8.16T |
Accumulated Other Comprehensive Income Loss | $1.29T | $515.98B | $479.63B | $537.14B | $-163.45B | $-203.02B | $-300.97B | $-288.28B | $-88.48B | $-5.77B |
Other Total Stockholders Equity | $2.77T | $2.25T | $2.25T | $2.25T | $2.25T | $2.25T | $2.25T | $2.25T | $2.25T | $2.25T |
Total Stockholders Equity | $6.54T | $7.23T | $9.88T | $13.12T | $11.40T | $11.34T | $13.98T | $14.37T | $12.96T | $12.19T |
Total Equity | $8.07T | $8.77T | $11.32T | $14.76T | $12.74T | $12.49T | $14.89T | $14.98T | $13.46T | $12.70T |
Total Liabilities and Stockholders Equity | $32.86T | $35.76T | $35.69T | $38.15T | $35.07T | $35.57T | $33.18T | $29.16T | $24.88T | $22.58T |
Minority Interest | $1.53T | $1.54T | $1.44T | $1.64T | $1.34T | $1.15T | $907.06B | $608.03B | $506.39B | $512.00B |
Total Liabilities and Total Equity | $32.86T | $35.76T | $35.69T | $38.15T | $35.07T | $35.57T | $33.18T | $29.16T | $24.88T | $22.58T |
Total Investments | $166.19B | $193.76B | $2.29T | $310.71B | $162.97B | $232.21B | $279.65B | $950.07B | $1.44T | $2.21T |
Total Debt | $14.61T | $16.60T | $15.06T | $12.75T | $14.15T | $13.57T | $8.56T | $5.60T | $4.78T | $4.22T |
Net Debt | $12.59T | $14.34T | $13.24T | $9.21T | $9.93T | $10.23T | $6.19T | $3.00T | $3.22T | $3.47T |
Cash Flow Statement
Breakdown | December 31, 2024 | December 31, 2023 | December 31, 2022 | December 31, 2021 | December 31, 2020 | December 31, 2019 | December 31, 2018 | December 31, 2017 | December 31, 2016 | December 31, 2015 |
---|---|---|---|---|---|---|---|---|---|---|
Net Income | $-2.56T | $-2.58T | $-3.20T | $1.33T | $-70.64B | $-2.87T | $-179.44B | $1.94T | $931.51B | $1.02T |
Depreciation and Amortization | $5.13T | $4.21T | $4.56T | $4.50T | $4.13T | $3.70T | $3.55T | $3.21T | $3.02T | $3.38T |
Deferred Income Tax | $- | $-762.71B | $-237.78B | $385.34B | $-524.46B | $-472.16B | $88.08B | $395.58B | $384.73B | $410.53B |
Stock Based Compensation | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Change in Working Capital | $-1.22T | $1.02T | $700.63B | $-1.02T | $-1.48T | $404.02B | $1.06T | $1.44T | $-847.23B | $-2.17T |
Accounts Receivables | $-395.51B | $-974.56B | $1.83T | $-964.13B | $-935.89B | $-1.01T | $1.30T | $484.59B | $-553.77B | $-1.06T |
Inventory | $-85.85B | $336.99B | $390.67B | $-1.12T | $-128.50B | $632.36B | $-449.90B | $-55.98B | $105.69B | $404.86B |
Accounts Payables | $- | $323.55B | $-282.08B | $1.04T | $1.39T | $-394.56B | $267.36B | $113.59B | $-114.98B | $-670.57B |
Other Working Capital | $-743.58B | $1.34T | $-1.24T | $33.43B | $-1.80T | $1.17T | $-64.13B | $900.20B | $-284.17B | $-839.76B |
Other Non Cash Items | $1.07T | $-212.58B | $1.19T | $495.71B | $341.61B | $135.75B | $304.87B | $176.19B | $296.11B | $398.67B |
Net Cash Provided by Operating Activities | $2.41T | $1.68T | $3.01T | $5.75T | $2.29T | $2.71T | $4.48T | $6.76T | $3.64T | $2.73T |
Investments in Property Plant and Equipment | $-2.13T | $-3.48T | $-5.91T | $-3.78T | $-2.96T | $-7.47T | $-8.42T | $-7.05T | $-4.14T | $-2.66T |
Acquisitions Net | $- | $- | $4.80B | $4.36B | $2.40B | $16.74B | $-10.21B | $-7.18B | $29.75B | $-293.48B |
Purchases of Investments | $- | $-950.78B | $-1.80T | $-728.73B | $-81.68B | $-115.18B | $-775.67B | $-1.80T | $-2.69T | $-2.55T |
Sales Maturities of Investments | $- | $1.79T | $760.23B | $90.75B | $103.13B | $114.65B | $1.45T | $2.21T | $3.30T | $2.31T |
Other Investing Activities | $766.49B | $55.75B | $245.37B | $147.78B | $613.69B | $696.38B | $78.79B | $167.33B | $311.44B | $462.53B |
Net Cash Used for Investing Activities | $-1.36T | $-2.59T | $-6.70T | $-4.26T | $-2.32T | $-6.76T | $-7.68T | $-6.48T | $-3.19T | $-2.73T |
Debt Repayment | $-1.17T | $1.38T | $316.53B | $-2.47T | $770.95B | $4.72T | $2.85T | $1.04T | $504.00B | $-92.75B |
Common Stock Issued | $- | $- | $- | $- | $172.97B | $- | $- | $497.96B | $597.57B | $- |
Common Stock Repurchased | $- | $- | $- | $- | $- | $- | $- | $- | $- | $- |
Dividends Paid | $-136.52B | $- | $-232.58B | $- | $- | $-500.00M | $-178.91B | $-178.91B | $-178.91B | $-178.91B |
Other Financing Activities | $-30.43B | $-34.10B | $1.86T | $- | $160.88B | $269.86B | $280.52B | $4.30B | $-17.14B | $97.17B |
Net Cash Used Provided by Financing Activities | $-1.33T | $1.35T | $1.95T | $-2.47T | $931.83B | $4.99T | $2.95T | $862.24B | $307.95B | $-174.50B |
Effect of Forex Changes on Cash | $208.32B | $-11.40B | $26.18B | $299.27B | $-17.36B | $31.93B | $759.00M | $-101.51B | $47.36B | $41.67B |
Net Change in Cash | $-235.88B | $432.87B | $-1.72T | $-676.50B | $882.10B | $970.98B | $-237.54B | $1.04T | $807.03B | $-138.18B |
Cash at End of Period | $2.02T | $2.26T | $1.82T | $3.54T | $4.22T | $3.34T | $2.37T | $2.60T | $1.56T | $751.66B |
Cash at Beginning of Period | $2.26T | $1.82T | $3.54T | $4.22T | $3.34T | $2.37T | $2.60T | $1.56T | $751.66B | $889.84B |
Operating Cash Flow | $2.41T | $1.68T | $3.01T | $5.75T | $2.29T | $2.71T | $4.48T | $6.76T | $3.64T | $2.73T |
Capital Expenditure | $-2.13T | $-4.15T | $-5.91T | $-3.78T | $-2.96T | $-7.47T | $-8.42T | $-7.05T | $-4.14T | $-2.66T |
Free Cash Flow | $282.03B | $-2.45T | $-2.90T | $1.98T | $-669.91B | $-4.76T | $-3.94T | $-282.68B | $-500.21B | $66.95B |