LG Display Co. Ltd.

NYSE: LPL · Real-Time Price · USD
4.43
0.08 (1.84%)
At close: Aug 15, 2025, 3:59 PM
4.50
1.47%
After-hours: Aug 15, 2025, 05:50 PM EDT

LG Display Balance Sheet Statement

Financials in KRW. Fiscal year is January - December.
Fiscal Year Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
981.38B 2,021.6B 1,786.6B 1,974.1B 2,571.7B 2,257.5B 3,006.2B 2,378.4B 2,212.7B 1,824.6B 1,540.8B 2,740.6B 3,365.1B 3,541.6B 3,477.6B 3,614.3B 3,904B
Short-Term Investments
10.23B 11.03B 9.37B 376.38B 653.25B 905.97B 294.21B 5.9B 286.21B 276.13B 298.83B 298.6B 17.29B 27.78B 19.01B 14.33B 6.42B
Long-Term Investments
162.29B 155.16B 175.96B 222.35B 286.63B 273.94B 207.34B 203.43B 206.01B 224.6B 578.7B 432.21B 312.92B 282.93B 265.04B 195.75B 189.38B
Other Long-Term Assets
232.69B 5,038.2B 3,989.2B 4,997.1B 420.66B 445.02B 544.79B 576.01B 629.66B 672.41B 269.68B 220.78B 130.3B 173.48B 227.17B 262.55B 319.73B
Receivables
3,633B 3,630.8B 3,045.8B 3,663.9B 2,947.1B 3,222.2B 2,464.5B 3,634.6B 2,389.2B 2,365.8B 2,872.2B 2,690.3B 3,780.7B 4,581.6B 4,295B 4,214.4B 4,314.9B
Inventory
2,956.1B 2,671.2B 3,338.2B 3,081.8B 3,369.3B 2,527.7B 3,348.5B 2,681.6B 2,810.6B 2,872.9B 4,517.3B 4,722.4B 4,229.6B 3,350.4B 3,580.3B 2,722.8B 2,351.7B
Other Current Assets
2,628.4B 1,147.5B 1,546.5B 812.28B 360.05B 1,253.3B 1,121.8B 1,791.1B 440.9B 1,910.7B 2,102.9B 1,355.3B 1,593.3B 1,605.4B 1,511.1B 1,476.7B 1,464.4B
Total Current Assets
10,225.2B 9,482.2B 9,856.2B 9,811.6B 10,190B 9,503.2B 10,506.3B 10,654.5B 9,853.5B 9,444B 11,778.6B 11,990.1B 13,137.8B 13,187.1B 13,046.5B 12,127B 12,163.1B
Property-Plant & Equipment
16,374.8B 17,202.9B 17,468.3B 19,003.2B 19,676.1B 20,200.3B 20,953.3B 20,836.6B 21,173.8B 20,946.9B 22,778.9B 21,438.7B 20,698B 20,558.4B 20,318B 20,233.2B 20,203.7B
Goodwill & Intangibles
1,518.3B 981.13B 1,651.8B 1,039.5B 1,720B 1,774B 1,735.3B 1,735.7B 1,731.3B 1,753B 1,850.7B 1,734.7B 1,624.9B 1,644.9B 1,544.5B 1,237.9B 1,259B
Total Long-Term Assets
21,762.6B 23,377.4B 23,293.5B 25,262.2B 25,922.8B 26,256.1B 27,031.4B 26,717.4B 26,790.7B 26,242B 28,355.3B 26,315.4B 25,129.4B 24,967.4B 24,559.6B 24,196.7B 24,234.4B
Total Assets
31,987.8B 32,859.6B 33,149.7B 35,073.8B 36,112.8B 35,759.3B 37,537.7B 37,372B 36,644.2B 35,686B 40,133.9B 38,305.4B 38,267.1B 38,154.5B 37,606.2B 36,323.7B 36,397.6B
Account Payables
4,253.8B 4,156.1B 4,092.8B 4,431.3B 4,431.5B 4,172.5B 4,700.7B 4,477.3B 3,935.5B 4,060.5B 5,028.9B 4,491.3B 5,270.3B 4,814.1B 4,329.4B 3,736.6B 3,974.9B
Deferred Revenue
n/a n/a n/a 2.77B 840.7B 625.84B 4,322B 236.38B 31.18B 65.07B 65.83B 70.08B 82.1B 67.05B 102.39B 153.2B 295.08B
Short-Term Debt
6,963.8B 6,488.9B 6,290.7B 5,939.7B 5,862.4B 5,206.2B 5,409.1B 4,946.2B 5,214.1B 5,448.6B 5,155.9B 6,016.4B 4,809B 4,015.8B 4,921B 4,419.2B 3,688.7B
Other Current Liabilities
2,554B 2,609B 4,104.5B 3,316.7B 2,931.4B 3,808.7B 3,689.8B 3,088.1B 2,936.8B 3,682.6B 3,975.4B 3,738.8B 3,754.1B 3,906B 3,321.1B 3,681.5B 3,695.1B
Total Current Liabilities
15,898.9B 15,709.3B 15,158.6B 14,360.6B 13,865.4B 13,885B 14,559.8B 13,201.8B 12,758.1B 13,961.5B 14,962.9B 14,975.6B 14,535.4B 13,994.8B 13,666.4B 12,631.4B 11,998.1B
Long-Term Debt
7,613.3B 8,061.2B 8,599.2B 10,219.7B 11,188B 11,386.4B 12,095.9B 12,503.3B 11,965.8B 9,590.3B 10,135.4B 7,980.4B 8,249.8B 8,658.9B 8,548.6B 9,450.1B 10,678.6B
Other Long-Term Liabilities
614.1B 993.02B 1,021.9B 1,290B 1,494.1B 1,692.6B 674.92B 2,126.3B 1,354.1B 782.92B 710.42B 675.8B 679.52B 597.59B 629.95B 302.58B 296.46B
Total Long-Term Liabilities
8,254.8B 9,077.4B 9,647.7B 11,533.6B 12,707B 13,103.7B 14,087.8B 14,659.2B 13,357.4B 10,405.3B 10,887.4B 8,699.5B 8,974.5B 9,397.2B 9,328.1B 9,931.5B 11,160.4B
Total Liabilities
24,153.8B 24,786.8B 24,806.2B 25,894.2B 26,572.4B 26,988.8B 28,647.5B 27,861.1B 26,115.5B 24,366.8B 25,850.3B 23,675.1B 23,509.9B 23,392B 22,994.5B 22,563B 23,158.5B
Total Debt
14,655.4B 14,608.1B 14,953.2B 16,223B 17,096.2B 16,602.5B 17,556.4B 17,502.1B 17,274.1B 15,064.2B 15,384.6B 14,076.7B 13,147.2B 12,748.1B 13,547.3B 13,903.5B 14,374.9B
Common Stock
2,500B 2,500B 2,500B 2,500B 2,500B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B 1,789.1B
Retained Earnings
-281.11B -18.51B 978.53B 1,382B 1,890B 2,676B 2,567.3B 3,287.3B 4,145.6B 5,359.8B 7,278.4B 8,072.9B 8,325.1B 8,541.5B 8,526.7B 8,109.4B 7,748.8B
Comprehensive Income
1,281.9B 1,287.2B 740.58B 929.92B 727.28B 515.98B 699.12B 571.71B 781.52B 479.63B 1,187.6B 816.67B 681.25B 537.14B 430.57B 112.19B 32.98B
Shareholders Equity
6,274.4B 6,542.3B 6,978.6B 7,632.9B 7,938.3B 7,232.2B 7,306.6B 7,899.2B 8,967.3B 9,879.6B 12,506.2B 12,929.8B 13,046.6B 13,118.9B 12,997.5B 12,261.7B 11,822B
Total Investments
172.53B 166.19B 185.33B 591.95B 939.88B 1,179.9B 5,138.6B 209.32B 492.22B 2,286.2B 877.52B 730.82B 330.21B 310.71B 284.05B 210.07B 195.8B