₩78900.00
₩0.00 (0.00%)
End-of-day quote: 04/27/2024
KOSE:A003550

LG Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
₩7.19T ₩6.86T ₩6.63T ₩6.53T ₩7.74T ₩11.84T ₩9.67T ₩9.97T ₩9.87T ₩9.80T ₩9.70T ₩10.06T ₩9.48T
GM % Gross Margin %
32.46% 40.73% 31.18% 20.34% 27.43% 21.51% 17.71% 16.33% 15.24% 16.48% 17.01% 17.72% 24.38%
OM Operating Margin
27.05% 35.86% 25.65% 15.21% 23.53% 18.46% 13.67% 11.42% 10.58% 11.77% 12.68% 13.42% 20.49%
EPS Earnings Per Share
₩0.00 ₩10.41k ₩12.42k ₩12.47k ₩8.45k ₩4.87k ₩11.86k ₩14.92k ₩6.71k ₩5.89k ₩5.34k ₩6.37k ₩5.85k ₩6.36k ₩9.56k
Div. Dividends
₩3.09k ₩2.80k ₩2.41k ₩2.41k ₩1.43k ₩1.43k ₩1.43k ₩1.10k ₩1.10k ₩1.10k ₩1.10k ₩1.10k ₩1.10k
PR % Payout Ratio %
24.86% 22.46% 28.55% 49.56% 12.03% 9.56% 21.26% 18.62% 20.56% 17.21% 18.74% 17.24% 11.47%
Sha. Shares
158.13m 160.26m 160.23m 175.77m 175.77m 175.77m 175.77m 175.77m 175.77m 172.46m 172.46m 172.46m 172.45m
OCF Operating Cash Flow
₩641.02B ₩1.02T ₩739.10B ₩818.67B ₩494.94B ₩1.06T ₩878.20B ₩886.29B ₩600.27B ₩736.00B ₩596.60B ₩710.81B ₩910.16B
FCF Free Cash Flow
₩480.70B ₩686.66B ₩663.66B ₩756.36B ₩231.39B ₩766.35B ₩603.70B ₩623.27B ₩239.48B ₩405.07B ₩218.22B ₩110.44B ₩459.73B
FCFS Free Cash Flow Per Share
₩2.78k ₩4.44k ₩3.84k ₩2.57k ₩575.88 ₩2.00k ₩2.10k ₩3.48k ₩68.75 ₩1.91k ₩624.07 ₩-36.10 ₩2.48k