LG Display Financial Ratios for Analysis 2009-2024 | LPL

Fifteen years of historical annual and quarterly financial ratios and margins for LG Display (LPL).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.680.680.941.010.930.881.171.491.441.221.140.970.791.001.35
0.570.460.370.470.480.320.220.230.180.220.220.250.190.080.17
1.901.340.871.121.090.580.370.360.330.360.360.440.310.090.39
1.624.3017.7610.917.9612.6819.3114.1515.2014.3212.9810.214.9814.6211.15
-11.77-7.977.47-0.12-5.790.388.864.945.735.134.303.10-3.156.625.18
-11.77-7.977.47-0.12-5.790.388.864.945.735.134.303.10-3.156.625.18
7.999.4522.5316.949.9514.9820.4316.3417.6217.3118.4931.6211.8918.0919.09
-15.66-13.135.75-2.46-14.25-0.388.394.975.054.693.071.56-4.454.964.58
-12.82-11.753.97-0.37-12.05-0.856.493.423.413.471.550.80-3.244.545.26
0.600.730.780.690.660.730.951.071.261.151.241.200.971.071.06
8.308.717.339.9510.537.909.549.9510.248.2312.1711.069.969.8310.74
6.3810.346.366.626.478.126.195.206.757.428.408.838.877.837.21
57.2435.2957.3855.1656.4144.9758.9770.2654.0649.1743.4541.3541.1746.5950.63
-29.38-28.239.03-0.55-23.00-1.2112.936.928.067.674.032.28-7.6110.4511.79
-36.83-33.4010.17-0.60-24.73-1.2913.777.418.638.074.222.39-8.0410.9912.11
-7.21-8.953.50-0.20-8.07-0.546.643.744.533.942.010.95-3.074.856.11
-12.75-15.265.68-0.30-11.92-0.8210.125.306.606.003.161.70-6.189.639.78
9.8011.0718.5714.2413.9618.9318.5216.9315.98------
1.882.956.492.563.035.708.364.583.434.004.615.694.665.994.42
-1.47-1.863.020.14-4.34-4.220.410.231.024.060.190.82-0.50-0.070.31

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.680.730.680.720.810.770.680.790.800.900.940.950.961.011.010.970.880.910.931.010.880.980.880.910.991.041.171.401.471.401.491.271.451.531.441.431.441.291.221.161.060.941.141.131.131.100.970.860.810.760.790.770.830.851.001.071.171.261.351.361.271.30
0.530.540.570.580.570.530.460.420.350.360.370.370.410.450.470.500.490.480.480.450.400.380.320.280.270.240.220.220.220.220.230.200.220.210.180.190.190.180.220.230.220.190.220.240.250.270.250.250.250.260.190.250.050.060.080.170.190.180.170.160.180.22
1.771.791.901.981.851.641.341.080.970.890.870.931.011.091.121.191.221.171.090.940.780.710.580.530.520.450.370.360.340.340.360.340.390.340.330.340.330.330.360.400.410.350.360.380.390.460.440.330.480.520.310.450.060.060.090.370.230.350.390.370.440.45
9.154.1511.680.78-3.64-8.69-3.160.754.9112.6415.2018.1120.8217.8918.6412.552.425.896.245.189.0010.7616.9314.568.329.5511.8118.0122.8424.3519.1013.9710.4210.4610.2314.6216.9919.3917.2817.0911.8511.8812.2515.0114.6810.3512.8410.5511.145.315.242.887.464.387.6511.5219.6721.5210.9719.1412.74-6.28
-1.40-8.941.78-13.84-18.60-24.90-14.55-11.21-8.710.595.587.3210.067.609.192.44-9.74-7.66-7.16-7.50-6.89-2.253.872.30-4.07-1.730.048.4012.1314.5410.554.810.760.660.814.657.2810.59-2.634.212.731.692.955.925.572.225.503.343.46-3.425.04-7.85-5.64-5.40-11.613.3416.5511.4745.4317.43-21.38-59.14
-1.40-8.941.78-13.84-18.60-24.90-14.55-11.21-8.710.595.587.3210.067.609.192.44-9.74-7.66-7.16-7.50-6.89-2.253.872.30-4.07-1.730.048.4012.1314.5410.554.810.760.660.814.657.2810.59-2.634.212.731.692.955.925.572.225.503.343.46-3.425.04-7.85-5.64-5.40-11.613.3416.5511.4745.4317.43-21.38-59.14
--------------------------------------------------------------
-6.45-18.830.26-21.03-18.51-33.44-32.14-16.23-9.130.583.178.427.904.705.67-0.81-12.60-6.24-41.88-10.31-8.26-2.193.231.81-6.06-1.690.078.5912.5512.1512.373.700.18-0.130.413.817.568.886.106.814.900.513.276.122.470.605.733.03-1.12-3.19-1.85-11.09-0.84-3.79-5.923.648.9514.654.6410.929.09-14.50
-7.55-14.910.79-15.05-18.11-27.52-33.04-11.66-7.220.312.315.815.213.317.620.45-9.22-4.21-34.38-7.20-10.24-1.041.990.06-5.30-1.050.106.3410.418.979.282.64-1.220.04-0.192.774.996.534.515.414.32-1.431.013.721.600.063.592.09-1.63-2.08-0.09-10.950.41-2.15-4.173.318.6011.047.839.336.12-6.96
0.190.150.210.130.130.120.160.170.150.170.250.190.190.190.210.190.150.130.140.160.150.170.220.190.180.190.230.240.250.280.350.330.260.270.330.300.300.310.360.280.280.260.330.290.290.280.360.300.270.250.260.250.250.220.270.280.290.280.330.330.210.14
1.981.492.581.421.831.712.001.491.131.342.431.652.032.402.802.462.541.922.292.021.901.992.202.022.122.182.542.152.182.343.043.032.142.122.862.122.162.142.822.082.662.243.312.312.342.413.252.472.392.662.642.571.982.053.002.382.272.701.892.743.123.21
1.751.732.211.971.321.702.212.161.901.672.051.651.631.552.041.711.801.601.381.431.861.682.381.801.541.571.511.411.461.561.691.531.621.821.781.611.952.112.341.932.372.102.252.452.462.222.622.452.652.722.362.582.672.171.991.951.761.762.272.021.341.11
51.3451.8940.7145.7868.3252.8340.8141.6647.4053.9443.9954.4455.3857.9344.1752.4950.0056.2765.0862.8048.2753.6637.8049.9058.4757.4559.6863.7061.8157.7953.3858.7255.6249.3650.4755.9446.1242.6438.4546.5338.0142.8340.0436.7136.6040.5734.3336.8133.9233.1138.1134.9133.6741.4545.2146.1951.0451.1739.7044.5667.2180.77
-5.13-7.980.58-8.72-7.35-10.95-18.08-5.42-2.610.371.573.173.082.014.880.09-4.16-1.58-13.94-3.09-3.74-0.411.000.12-2.07-0.330.073.155.054.966.131.71-0.680.01-0.111.522.653.763.193.012.37-0.750.682.301.000.043.071.59-1.14-1.28-0.06-6.740.23-1.06-2.441.975.246.035.025.942.57-2.01
-6.34-9.730.72-10.84-8.99-13.11-21.40-6.23-2.960.411.773.553.382.225.300.10-4.48-1.70-14.98-3.31-3.99-0.441.070.13-2.21-0.350.083.345.365.286.561.82-0.730.01-0.121.612.813.933.363.162.49-0.780.712.401.040.043.231.68-1.20-1.36-0.06-7.110.24-1.12-2.572.045.456.245.156.102.64-2.06
-1.34-2.110.14-2.07-1.87-3.15-5.74-1.93-1.000.140.611.231.170.731.770.03-1.44-0.55-4.89-1.18-1.55-0.180.450.05-0.96-0.160.041.662.782.743.310.93-0.370.01-0.060.831.492.041.641.511.21-0.370.341.100.460.021.280.63-0.44-0.52-0.02-2.770.10-0.47-1.130.932.533.052.603.081.30-0.96
-2.42-3.670.25-3.69-3.17-5.11-9.77-3.16-1.690.240.992.001.821.112.600.05-2.13-0.82-7.22-1.70-2.25-0.260.680.09-1.51-0.250.062.473.923.864.691.36-0.530.01-0.091.232.143.072.502.331.85-0.610.531.750.750.032.301.20-0.85-0.95-0.05-5.030.22-1.00-2.251.624.264.954.164.992.12-1.58
6.437.639.809.9410.6311.7711.0713.9716.3616.5018.5716.3317.3116.6514.2413.6113.5314.0413.9616.0118.5219.2318.9318.4818.2818.6518.5219.0818.3517.2416.9313.9215.5313.97----------------------------
0.23-0.431.881.310.21-0.642.951.761.100.786.494.173.031.212.561.330.180.213.031.391.62-0.225.704.672.821.018.366.444.021.564.582.881.541.053.332.371.740.984.002.401.361.144.613.753.181.595.684.563.000.814.792.851.631.026.143.742.611.214.432.701.741.56
-0.53-1.33-1.47-1.37-1.81-1.68-1.86-1.70-1.06-0.403.021.661.230.500.14-0.75-0.31-0.64-4.34-4.92-3.78-2.85-4.22-2.77-2.04-1.150.410.55-0.06-0.370.23-0.29-0.44-0.090.990.552.000.654.06-0.79-0.93-0.150.190.620.900.270.820.460.45-0.68-0.52-0.88-0.83-0.28-0.070.230.710.310.31-0.21-0.770.23