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034220 LG Display Co Cashflow Statement

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Annual cashflow statement for LG Display Co, fiscal year end - December 31st, KRW millions except per share, conversion factor applied.

2020
December 31st
2021
December 31st
2022
December 31st
2023
December 31st
2024
December 31st
Period Length:12 M12 M12 M12 M12 M
Source:Annual Audited AccountsAnnual Audited AccountsAnnual Audited AccountsAnnual Audited AccountsAnnual Audited Accounts
Standards:
IFRS
IFRS
IFRS
IFRS
IFRS
Status:FinalFinalFinalFinalFinal
Net Income/Starting Line-70,6361,333,544-3,195,585-2,576,729-2,409,300
Depreciation
Non-Cash Items333,7161,444,4431,526,127161,2931,770,447
Discontinued Operations
Unusual Items
Equity in Net Earnings/Losses
Other Non-Cash Items
Changes in Working Capital-2,110,975-1,525,242123,021-115,558-2,233,438
Change in Accounts Receivable
Change in Inventories
Change in Other Assets
Change in Accounts Payable
Change in Accrued Expenses
Change in Other Liabilities
Other Operating Cash Flow
Cash from Operating Activities2,286,9485,753,4463,011,0201,682,7482,253,346
Capital Expenditures-2,956,858-3,777,235-5,909,862-4,154,830-2,916,554
Purchase of Fixed Assets
Purchase / Acquisition of Intangibles
Other Investing Cash Flow Items637,542-485,845-790,3071,565,4941,553,306
Sale of Fixed Assets
Sale/Maturity of Investment
Change in Net Investments
Purchase of Investments
Sale of Intangible Assets
Other Investing Cash Flow
Cash from Investing Activities-2,319,316-4,263,080-6,700,169-2,589,336-1,363,248
Financing Cash Flow Items160,8800-60,206-34,098-393,522
Other Financing Cash Flow
Total Cash Dividends Paid
Net Issuance / Retirement of Stock
Net Issuance / Retirement of Debt
Cash from Financing Activities931,829-2,466,1361,946,0241,350,863-1,334,305
Foreign Exchange Effects
Beginning Cash Balance
Ending Cash Balance
Net Change in Cash882,096-676,502-1,716,948432,873-235,882