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End-of-day quote: 05/03/2024
KOSE:A051910

LG Chem Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
₩51.86T ₩42.65T ₩30.08T ₩27.35T ₩28.18T ₩25.70T ₩20.66T ₩20.21T ₩22.58T ₩23.14T ₩23.26T ₩22.68T ₩19.47T
GM % Gross Margin %
19.25% 26.30% 20.99% 17.13% 18.97% 21.65% 19.67% 18.14% 13.31% 14.30% 14.22% 18.00% 20.54%
OM Operating Margin
5.78% 11.78% 5.98% 3.02% 7.97% 11.40% 9.64% 9.02% 5.81% 7.53% 8.21% 12.43% 14.65%
EPS Earnings Per Share
₩0.00 ₩24.25k ₩23.67k ₩43.27k ₩5.28k ₩4.09k ₩19.06k ₩25.37k ₩17.42k ₩15.67k ₩11.80k ₩17.21k ₩20.32k ₩29.07k ₩29.35k
Div. Dividends
₩10.00k ₩12.00k ₩10.00k ₩2.00k ₩6.00k ₩6.00k ₩5.00k ₩4.50k ₩4.00k ₩4.00k ₩4.00k ₩4.00k ₩4.00k
PR % Payout Ratio %
42.25% 27.73% 189.43% 48.96% 31.48% 23.65% 28.71% 28.71% 33.90% 23.24% 19.69% 13.76% 13.63%
Sha. Shares
78.28m 77.91m 77.8m 76.61m 76.61m 76.61m 73.53m 73.53m 73.53m 73.53m 73.53m 73.53m 73.53m
OCF Operating Cash Flow
₩569.88B ₩5.51T ₩5.84T ₩3.12T ₩2.12T ₩3.18T ₩2.52T ₩3.17T ₩1.99T ₩2.18T ₩1.77T ₩2.24T ₩2.51T
FCF Free Cash Flow
₩-7836408.00M ₩-263777.00M ₩305.04B ₩-3117102.00M ₩-2094386.00M ₩928.13B ₩1.12T ₩1.54T ₩583.16B ₩822.59B ₩-141718.00M ₩-80161.00M ₩889.96B
FCFS Free Cash Flow Per Share
₩-102377.57 ₩-5039.65 ₩2.58k ₩-43717.70 ₩-28742.49 ₩10.94k ₩14.20k ₩20.11k ₩7.25k ₩10.62k ₩-2350.17 ₩242.50 ₩11.77k