LG Electronics Inc. (FRA:LGLG)
Germany flag Germany · Delayed Price · Currency is EUR
15.10
+1.50 (11.03%)
Last updated: Jan 28, 2026, 4:12 PM CET

LG Electronics Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
8,769,8007,573,0368,487,5636,322,3606,051,516
Short-Term Investments
-46,68126,386171,046146,456
Trading Asset Securities
-55274,7503622,297
Cash & Short-Term Investments
8,769,8007,620,2698,588,6996,493,7686,200,269
Cash Growth
15.09%-11.28%32.26%4.73%3.61%
Accounts Receivable
11,160,70010,535,6149,265,0228,216,5128,166,459
Other Receivables
-719,254473,451476,259331,599
Receivables
11,160,70012,028,6379,755,2188,713,3528,510,824
Inventory
11,085,00010,729,3609,125,4049,388,8089,754,018
Prepaid Expenses
-1,436,6991,220,0411,483,2771,095,745
Other Current Assets
3,854,4002,104,9341,647,6921,396,1081,805,198
Total Current Assets
34,869,90033,919,89930,337,05427,475,31327,366,054
Property, Plant & Equipment
16,714,40017,075,23116,818,62915,831,83814,700,784
Long-Term Investments
2,797,3003,256,9613,426,8904,263,3005,400,622
Goodwill
-305,169281,534288,918248,596
Other Intangible Assets
4,370,4002,312,7471,886,6751,641,7921,649,049
Long-Term Accounts Receivable
-1,645,716639,439143,20925,078
Long-Term Deferred Tax Assets
-3,509,5562,821,5572,452,0912,085,710
Long-Term Deferred Charges
-900,812699,478524,120545,604
Other Long-Term Assets
9,868,2002,273,8112,152,2612,388,8761,333,288
Total Assets
68,620,20065,629,58960,240,79355,156,14153,481,478
Accounts Payable
10,582,1009,884,7709,427,2888,212,4198,741,937
Accrued Expenses
-4,392,5093,915,0613,670,9863,761,598
Short-Term Debt
-564,410707,605885,911330,086
Current Portion of Long-Term Debt
-2,324,8501,894,0311,401,6071,565,514
Current Portion of Leases
-385,675336,772303,969292,526
Current Income Taxes Payable
-370,854226,343250,575394,591
Other Current Liabilities
-9,384,3717,653,2807,607,0828,533,647
Total Current Liabilities
10,582,10027,307,43924,160,38022,332,54923,619,899
Long-Term Debt
12,644,20011,093,28210,719,1758,757,6698,035,953
Long-Term Leases
1,316,100874,185856,251792,266662,896
Pension & Post-Retirement Benefits
-146,985105,27886,220201,878
Long-Term Deferred Tax Liabilities
-35,07735,02546,80137,052
Other Long-Term Liabilities
15,525,800960,957866,148648,639825,767
Total Liabilities
40,068,20040,417,92536,742,25732,664,14433,383,445
Common Stock
28,552,000904,169904,169904,169904,169
Additional Paid-In Capital
-2,970,2643,024,9933,048,3453,044,394
Retained Earnings
-16,352,77316,201,43915,834,02114,433,587
Treasury Stock
--44,893-44,893-44,893-44,893
Comprehensive Income & Other
-812,456-420,954-749,534-1,106,614
Total Common Equity
28,552,00020,994,76919,664,75418,992,10817,230,643
Minority Interest
-4,216,8953,833,7823,499,8892,867,390
Shareholders' Equity
28,552,00025,211,66423,498,53622,491,99720,098,033
Total Liabilities & Equity
68,620,20065,629,58960,240,79355,156,14153,481,478
Total Debt
13,960,30015,242,40214,513,83412,141,42210,886,975
Net Cash (Debt)
-5,190,500-7,622,133-5,925,135-5,647,654-4,686,706
Net Cash Per Share
-28825.55-42329.68-32905.36-31364.37-26027.72
Filing Date Shares Outstanding
180.07180.07162.88162.88162.88
Total Common Shares Outstanding
-180.07180.07180.07180.07
Working Capital
24,287,8006,612,4606,176,6745,142,7643,746,155
Book Value Per Share
158564.14116594.89109208.63105473.0795690.74
Tangible Book Value
24,181,60018,376,85317,496,54517,061,39815,332,998
Tangible Book Value Per Share
134293.03102056.2497167.4394750.8485152.13
Land
-3,027,6593,009,9272,965,5262,875,668
Buildings
-12,875,51411,667,35710,869,39710,431,130
Machinery
-18,257,99416,870,89714,886,60713,789,947
Construction In Progress
-886,635573,725737,024554,086
Source: S&P Global Market Intelligence. Standard template. Financial Sources.