LG Electronics Inc.

KRX:066570.KS

76600 (KRW) • At close July 21, 2025
Overzicht | Financiële gegevens

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,573,0368,487,5636,322,3606,051,5165,896,3094,777,3684,270,3883,350,5973,015,1372,710,1562,244,4062,645,2701,832,1902,345,4651,944,1623,325,9443,929,285.7522,524,653.9172,981,5022,716,196
Kortetermijnbeleggingen 47,233101,136171,408148,75382,01865,97180,63380,51580,55989,97511,19367,927107,555150,00086,8142,723,000121.438329.267,145311,904
Liquide middelen en kortetermijnbeleggingen 7,620,2698,588,6996,493,7686,200,2695,978,3274,843,3394,351,0213,431,1123,095,6962,800,1312,255,5992,713,1971,939,7452,495,4652,030,9766,048,9443,929,407.192,524,983.1173,048,6473,028,100
Nettovorderingen 13,471,18311,216,4679,739,0559,447,5588,380,8537,819,2977,793,5858,744,8787,731,7337,886,1048,556,4517,823,8427,905,7947,435,8657,512,4198,182,149005,101,0005,391,000
Voorraad 10,729,3609,125,4049,388,8089,754,0187,447,1575,863,4186,021,3565,908,4375,171,0154,872,6765,711,2734,838,8304,599,4224,947,1605,872,4206,614,9376,448,628.0395,708,260.6125,761,1315,790,607
Overige vlottende activa 2,102,7051,410,6391,866,5972,085,9181,433,0831,227,4311,188,6081,107,008961,469797,846884,114925,4711,032,655902,9591,098,7181,180,92211,896,100.089,093,139.3416,179,5216,233,411
Totaal vlottende activa 33,923,51730,341,20927,488,22827,487,76323,239,42019,753,48519,362,85419,194,96916,990,56316,397,61317,482,69816,325,05814,554,28915,783,12616,514,53322,807,88722,274,135.30817,326,383.0714,989,29915,052,118
Niet-vlottende activa:
Materiële vaste activa, netto 17,075,23116,818,62915,831,83814,700,78413,973,99814,505,41913,333,95111,800,78211,222,42810,460,29810,596,85310,341,9937,517,6117,290,4136,500,48416,555,76516,253,026.51614,406,331.26315,739,32712,317,527
Goodwill 305,169281,534288,918248,596487,404611,781685,480145,316145,436149,668145,819145,933148,159148,46238,87316,7640000
Immateriële activa 3,213,5592,586,1532,165,9122,194,6532,651,6762,080,1912,315,6751,709,3041,425,6511,323,6121,248,5171,217,757929,281887,335724,509942,484774,049.601590,588.69300
Goodwill en immateriële activa 3,518,7282,867,6872,454,8302,443,2493,139,0802,691,9723,001,1551,854,6201,571,0871,473,2801,394,3361,363,6901,077,4401,035,797763,382959,248774,049.601590,588.693558,406735,955
Langetermijnbeleggingen 3,209,7286,524,9844,465,0685,314,1394,604,9664,616,2265,646,4995,647,4345,164,4324,936,9534,640,5284,414,4565,545,6035,734,9206,132,411-1,816,256694,421.823487,554.896399,852196,446
Belastingvorderingen 3,509,5562,821,5572,452,0912,085,7101,915,9281,668,4301,410,7931,365,3671,554,5941,637,7961,573,3951,619,5511,289,2781,246,071968,7511,943,969850,642.699566,827.843428,140471,058
Overige niet-vlottende activa 4,392,829866,7272,464,0861,449,8331,330,8351,624,3431,573,1911,357,7871,352,1651,407,9561,380,6101,463,3161,473,1651,568,1301,438,9384,306,1861,526,020.2921,206,741.7581,008,1591,144,247
Totaal niet-vlottende activa 31,706,07229,899,58427,667,91325,993,71524,964,80725,106,39024,965,58922,025,99020,864,70619,916,28319,585,72219,203,00616,903,09716,875,33115,803,96621,948,91220,098,160.93217,258,044.45318,133,88414,865,233
Totaal activa 65,629,58960,240,79355,156,14153,481,47848,204,22744,859,87544,328,44341,220,95937,855,26936,313,89637,068,42035,528,06431,457,38632,658,45732,318,49944,756,79942,372,296.2434,584,427.52333,123,18329,917,351
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,884,7709,427,2888,212,4198,741,9378,728,1596,820,6447,216,7398,137,5266,746,3616,086,9756,741,7105,691,1145,626,5715,486,8715,824,3925,315,8534,455,702.1734,452,924.6643,548,7663,465,550
Kortlopende schulden 3,274,9352,938,4082,591,4872,188,1261,726,7671,917,9011,405,1161,360,7561,650,5112,326,1282,575,5503,022,7232,044,9913,178,2124,009,2294,670,3477,406,068.9595,150,910.6986,796,6286,877,025
Belastingschulden 370,854226,343250,575394,591202,887172,756185,687100,35374,26376,57595,96374,131105,98881,64398,659334,230583,235.397303,622.90669,959124,018
Uitgestelde opbrengsten 02,342,0322,050,97612,689,5259,752,3568,919,237185,6878,038,1877,347,4846,364,6356,101,2846,300,1435,576,0585,549,4055,558,5158,821,674004,770,7714,506,681
Overige kortlopende verplichtingen 13,776,8809,226,3099,227,09210,128,6257,377,5656,883,8846,838,1507,873,0706,794,6586,247,6946,296,9846,154,8334,972,1175,418,5315,411,5829,044,4807,955,488.9885,170,792.8415,132,3164,720,506
Totaal kortlopende verplichtingen 27,307,43924,160,38022,332,54923,619,89920,207,49217,657,91617,135,02917,536,47015,744,36414,779,69115,754,34915,014,00412,815,91214,214,52215,393,85319,972,03420,400,495.51715,078,251.10815,547,66915,187,099
Langlopende verplichtingen:
Langetermijnschulden 11,967,46711,575,4269,549,9358,698,8499,055,0489,340,8619,496,0708,089,7247,008,5006,501,1226,426,1216,188,3064,314,8304,257,4062,315,4284,859,6856,033,172.8785,670,385.6865,653,3445,436,337
Uitgestelde opbrengsten niet-vlottend 100,17763,49747,21247,38629,042127,479244,243114,78817,8787,5548,8468,9751,5431,464868,278721,97300336,167300,821
Uitgestelde belastingverplichtingen niet-vlottend 35,07735,02546,80137,052131,809128,407127,0148,7599,5865,8006,0127,65110,33015,23710,253898,524634,741.469578,227.203114,56320,931
Overige niet-vlottende verplichtingen 1,007,765907,929687,647980,2591,238,7111,180,0741,019,180893,3961,718,1992,036,2421,871,3441,619,7591,499,7211,021,580-7,1191,070,618511,313.86429,610.117255,630237,405
Totaal niet-vlottende verplichtingen 13,110,48612,581,87710,331,5959,763,54610,454,61010,776,82110,886,5079,010,8058,754,1638,550,7188,322,9747,824,6915,937,2575,295,6874,065,0097,550,8007,179,228.2076,678,223.0066,359,7045,995,494
Totaal passiva 40,417,92536,742,25732,664,14433,383,44530,662,10228,434,73728,021,53626,547,27524,498,52723,330,40924,077,32322,838,69518,753,16919,510,20919,458,86227,522,83427,579,723.72421,756,474.11421,907,37321,182,593
Eigen vermogen:
Preferente aandelen 85,93085,929.9385,93085,929.9385,929.9385,929.9385,93085,93085,93085,93085,93085,93085,93085,93085,93085,9300000
Gewone aandelen 818,239818,239.07818,239818,239.07818,239.07818,239.07818,239818,239818,239818,239818,239818,239818,239818,239723,239723,239809,169.16809,168.698800,226783,961
Ingehouden winsten 10,287,91410,525,73515,834,02114,433,58713,652,83711,857,30212,075,41410,964,1559,233,4169,016,5469,081,0448,885,5239,407,6679,499,53410,108,1736,042,6814,041,724.5053,755,355.5532,580,7962,261,181
Overige gereserveerde algehele resultaten 6,064,8595,189,3813,931,5324,560,4862,705,1223,847,847-182,3423,089,0573,777,16000000000000
Overige totale aandeelhoudersvermogen 9,802,6863,045,4692,253,918.07-8,334,698.86-6,527,671-7,436,8816,803,668.071,355,937-6,733,7737,183,8157,554,3227,971,6012,826,2939,389,1001,726,7985,840,5925,659,530.8112,613,355.7492,646,7861,997,893
Totaal eigen vermogen van aandeelhouders 20,994,76919,664,75418,992,10817,230,64315,437,50014,330,08514,253,26813,224,26111,987,09411,626,57211,719,42311,739,20212,454,41212,893,95912,644,14010,133,1618,319,458.3167,177,879.0516,027,8085,043,035
Totaal eigen vermogen 25,211,66423,498,53622,491,99720,098,03317,542,12516,425,13816,306,90714,673,68413,356,74212,983,48712,991,09712,689,36912,704,21713,148,24812,859,63717,233,96514,792,572.51712,827,953.40911,215,8108,734,758
Totaal passiva en aandeelhoudersvermogen 65,629,58960,240,79355,156,14153,481,47848,204,22744,859,87544,328,44341,220,95937,855,26936,313,89637,068,42035,528,06431,457,38632,658,45732,318,49944,756,79942,372,296.2434,584,427.52333,123,18329,917,351