LG Display Co. Ltd. (LPL)
NYSE: LPL
· Real-Time Price · USD
4.42
0.07 (1.61%)
At close: Aug 15, 2025, 12:33 PM
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 |