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Updated: Aug 17, 2026
LPL Logo

LG Display Co

NYSE:LPL·Stock Analysis Report
Day Range
$3.32 - $3.42
Market Cap
3.51B
P/E Ratio
0.0000
Avg Value
$4.32
Year Range
$2.88 - $5.76
$3.35$0.01 (0.30%)
1
General Information
LG Display Co Ltd manufacture TFT-LCD and OLED technology-based display panels in a broad range of sizes and specifications mainly for use in IT products (comprising notebook computers, desktop monitors and tablet computers), televisions, mobile devices, including smartphones, as well as auto products, and it are one of the world's suppliers of large-sized OLED television panels.

It also manufacture display panels for industrial and other applications, including entertainment systems and medical diagnostic equipment.

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LG Display Co (LPL) Stock Graph
3
How We Grade LG Display Co (LPL)

We grade stocks based on past performance, their future growth potential, intrinsic value, dividend history, and overall financial health.

The chart below shows how we grade LG Display Co (LPL) across the board compared to its closest peers.

4
Benzinga Edge Rankings

Benzinga Edge stock rankings give you four critical scores to help you identify the strongest and weakest stocks to buy and sell.

Momentum measures a stock's relative strength based on its price movement patterns and volatility over multiple timeframes, ranked as a percentile against other stocks.

Stock Score Locked: Want to See it?
Benzinga Rankings give you vital metrics on any stock – anytime.
5
Peer Ratings

See how LG Display Co compares to its peers in these key performance metrics from Benzinga Rankings.

Top Peers
Value
Quality
Growth
Momentum
Short
Medium
Long
BELFABel Fuse
52.72
93.37
22.44
83.8
KNKnowles
49.42
41.11
52.21
85.42
BELFBBel Fuse
48.86
94.54
22.44
88.3
ROGRogers
58.73
47.11
39.66
84.6
Short: price trend over the last couple of months
Medium: price trend over the last couple of quarters
Long: price trend over the past year
Stock Score Locked: Want to See it?
Benzinga Rankings give you vital metrics on any stock – anytime.
6
Financial Health
What is the current state of the company's financial situation?

We measure the health of a company based on how profitable they are and their ability to cover both their short-term and long-term debts. The key indicators that we use are the Operating Margin, Quick Ratio, and Debt-to-Equity ratio relative to the companies peers

Operational Margin 0.0265

The operating margin measures how much profit a company makes after it spends money on wages, materials or other administrative expenses but before interest and taxes. It is a good representation of how efficiently a company is able to generate profit from its core operations.

Quick Ratio 0.4029

The quick ratio measures how much of a company's debt, that is due in less than 1 year, can be covered using its cash equivalents, marketable securities, and money that is currently owed to them (accounts receivables).

A company with a quick ratio of less than 1.00 does not, in many cases, have the capital on hand to meet its short-term obligations if they were all due at once, while a quick ratio greater than one indicates the company has the financial resources to remain solvent in the short term.

Debt-to-Equity 3.0224

Debt-to-equity is calculated by dividing a company's total liabilities by its shareholders equity. It is a measure of the degree to which a company is financing its operations through debt versus wholly owned funds. Generally speaking, a D/E ratio below 1.0 would be seen as relatively safe, whereas ratios of 2.0 or higher would be considered risky.

The chart above shows LG Display Co (LPL) operating margin, quick ratio, and debt-to-equity ratio compared to its peers. The black markers represent the peer averages for each ratio and the blue bars represent LG Display Co (LPL) ratio values.
7
Past Performance
How has LG Display Co (LPL) performed over the past 5 years?

The two main factors that we consider when analyzing past performance is overall return and volatility

Using these two metrics, we can determine if this stock gave its investors enough return for the risk that they took on by owning it. This is measured by the sharpe ratio, which has been used as a primary measure of risk/reward trade-off for almost 60 years.

This ratio can be interpreted as the amount of return an investor has received for the amount of risk that they took on by owning the stock over that timeframe.

LG Display Co (LPL) sharpe ratio over the past 5 years is -0.6083 which is considered to be below average compared to the peer average of 0.6803

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Company Financials
INCOME STATEMENT
The income statement also known as the profit and loss statement, primarily focuses on the company's revenues and expenses during a particular period.

The main purpose of an income statement is to convey details of profitability and business activities. Below, is LPL's income statement for the previous four years along with its trailing-twelve- month profit & loss.

FISCAL YEAR (BIL.)
2022 ($)
2023 ($)
2024 ($)
2025 ($)
TTM ($)
Total Revenue
26,151.78
21,330.82
26,615.35
25,810.08
25,278.79
Operating Revenue
26,316.72
21,330.82
26,615.35
25,810.08
25,317.58
Cost Of Revenue
25,027.70
20,985.64
24,039.93
22,433.62
21,879.64
Gross Profit
1,124.08
345.18
2,575.42
3,376.46
3,399.14
Operating Expense
3,209.12
2,640.06
2,859.48
2,768.91
Selling General And Administration
1,493.13
1,282.80
1,195.96
1,130.95
Research and Development
1,382.41
1,447.71
1,410.79
1,391.99
Operating Income
-2,085.05
-2,294.88
-560.60
516.98
630.23
Net Non-Operating Interest Income Expense
-113.15
-597.07
-660.72
-618.76
Other Income Expense
-1,235.18
-232.20
645.43
116.50
Other Non-Operating Income Expenses
26.09
-15.42
47.48
50.81
Pre-Tax Income
-3,433.37
-3,339.44
-2,191.54
501.69
127.97
Tax Provision
-237.78
-762.71
217.76
197.88
162.85
Net Income
-3,071.56
-2,733.74
-2,562.61
226.31
-81.65
Net Income Common Stockholders
-3,071.56
-2,733.74
-2,562.61
226.31
-81.65
Total Operating Income As Reported
516.98
630.23
Total Expenses
28,236.83
23,625.70
26,488.62
25,293.10
24,648.55
Net Income From Continuing And Discontinued Operation
-3,071.56
-2,733.74
-2,562.61
226.31
-81.65
Normalized Income
-2,156.48
-2,568.95
-2,201.65
-323.36
-310.69
Interest Income
85.62
134.66
87.69
51.69
37.26
Interest Expense
414.52
723.43
909.64
702.61
648.98
Net Interest Income
-113.15
-597.07
-660.72
-618.76
EBIT
-3,018.85
-2,616.01
-1,281.90
1,204.30
776.95
EBITDA
1,538.61
1,597.73
3,843.74
5,558.44
4,927.53
Reconciled Cost Of Revenue
25,027.70
17,036.88
20,391.95
18,301.57
17,945.63
Reconciled Depreciation
4,557.46
4,213.74
5,125.64
4,354.15
4,150.58
Normalized EBITDA
2,805.43
1,811.46
4,318.68
4,962.98
4,865.73
Tax Rate For Calcs
0.00
0.00
0.00
0.00
0.40
Tax Effect Of Unusual Items
-351.74
-48.93
-113.99
45.80
-167.23
BALANCE SHEET
The balance sheet is a snapshot of a companies financials during a particular period in time.

It breaks down what company owns (assets) and what a company owes (liabilities), in order to give investors an overview of its capital structure.

FISCAL YEAR (BIL.)
2022 ($)
2023 ($)
2024 ($)
2025 ($)
TTM ($)
Total Assets
35,686.02
35,759.30
32,859.57
26,916.70
27,295.66
Current Assets
9,444.03
9,503.19
10,123.04
6,982.08
7,145.46
Total Non-Current Assets
26,241.98
26,256.11
22,736.53
19,934.62
20,150.20
Total Liabilities Net Minority Interest
24,366.79
26,988.75
24,786.76
19,077.46
19,522.52
Current Liabilities
13,961.52
13,885.03
15,859.08
9,596.47
9,715.20
Other Non-Current Liabilities
690.89
629.47
553.77
489.56
824.72
Total Equity Gross Minority Interest
11,319.23
8,770.54
8,072.81
7,839.24
7,773.13
Stockholders Equity
Total Capitalization
19,436.88
18,581.27
14,603.51
15,510.36
15,353.84
Common Stock Equity
9,879.59
7,232.18
6,542.26
6,604.12
6,459.37
Net Tangible Assets
8,126.63
5,458.23
4,983.85
5,126.09
4,612.09
Working Capital
-4,517.48
-4,381.84
-5,736.05
-2,614.39
-2,569.74
Invested Capital
24,871.00
23,761.31
21,092.38
19,268.26
20,194.49
Tangible Book Value
8,126.63
5,458.23
4,983.85
5,126.09
4,612.09
Total Debt
15,064.20
16,602.49
14,608.09
12,723.82
13,796.44
Net Debt
13,166.76
14,271.61
12,528.47
11,092.08
12,211.48
Share Issued
0.39
0.39
0.50
0.50
0.50
Ordinary Shares Number
0.39
0.39
0.50
0.50
0.50
CASH FLOW STATEMENTS
A companies statement of cash flows gives an investor a break down of the cash inflows and outflows from a companies operations and investment activities.
FISCAL YEAR (BIL.)
2022 ($)
2023 ($)
2024 ($)
2025 ($)
TTM ($)
Cash Flow from Continuing Operating Activities
3,011.02
1,682.75
2,411.76
2,352.08
1,625.03
Net Income from Continuing Operations
-3,195.59
-2,576.73
-2,409.30
303.81
-34.88
Depreciation and Amortization
4,557.46
4,213.74
5,125.64
4,354.15
4,150.58
Deferred Tax
-237.78
-762.71
217.76
197.88
162.85
Deferred Income Tax
-237.78
-762.71
217.76
197.88
162.85
Stock-Based Compensation
Other Non-Cash Items
172.02
560.62
883.29
439.40
494.19
Change in Working Capital
700.63
1,021.02
-1,271.74
-2,119.96
-2,796.62
Change in Receivables
1,786.10
-974.56
-538.29
-2,314.04
-2,084.21
Changes in Account Receivables
1,833.49
-1,013.94
-395.51
-2,576.45
-2,270.31
Change in Inventory
390.67
336.99
-85.85
203.87
370.62
Change in Payables and Accrued Expense
-1,422.19
228.66
-483.94
32.34
-1,017.20
Change in Payable
-907.69
275.75
-576.42
-124.91
-1,082.36
Change in Account Payable
-282.08
323.55
-46.80
-124.91
-844.29
Change in Other Current Assets
425.71
94.13
-11.94
57.41
-4.67
Change in Other Current Liabilities
163.68
0.13
1.39
106.24
128.06
Change in Other Working Capital
-643.35
1,335.67
-153.11
-205.78
-189.22
Cash Flow from Continuing Investing Activities
-6,700.17
-2,589.34
-1,363.25
-978.62
-1,100.61
Net PPE Purchase and Sale
-4,907.86
-2,997.09
-1,881.28
-1,225.09
-1,361.43
Net Business Purchase and Sale
4.80
0.00
Purchase of Business
Net Investment Purchase and Sale
-987.28
1,016.28
1,194.30
164.11
139.87
Purchase of Investment
-1,803.38
-950.78
-7.17
-7.53
-8.65
Sale of Investment
816.10
1,967.06
1,201.47
171.64
148.52
Net Other Investing Changes
4.90
42.03
86.48
837.65
847.85
Financing Cash Flow
1,946.02
1,350.86
-1,334.30
-1,963.39
-1,421.01
Cash Flow from Continuing Financing Activities
1,946.02
1,350.86
-1,334.30
-1,963.39
-1,421.01
Net Issuance Payments of Debt
2,238.81
1,384.96
-2,233.24
-1,916.50
-1,380.51
Net Long-Term Debt Issuance
4,526.44
5,161.31
2,471.54
4,009.07
3,922.59
Long-Term Debt Issuance
4,608.74
5,234.79
2,912.55
4,919.71
4,571.89
Long-Term Debt Payments
-82.30
-73.48
-441.01
-910.64
-649.30
Net Short-Term Debt Issuance
-2,287.63
-3,776.35
-4,704.78
-5,925.57
-5,303.10
Net Common Stock Issuance
1,292.45
0.00
Common Stock Issuance
1,292.45
0.00
Common Stock Payments
Cash Dividends Paid
Net Other Financing Charges
-60.21
-393.52
-46.89
End Cash Position
9,471.23
9,854.90
8,354.17
5,767.74
6,310.01
Changes in Cash
-1,743.12
444.27
-285.79
-589.92
-896.58
Beginning Cash Position
11,188.18
9,422.02
8,590.05
6,217.33
5,767.74
Capital Expenditure
-5,909.86
-4,154.83
-2,916.55
-2,107.08
-2,155.90
Issuance of Capital Stock
1,292.45
0.00
Issuance of Debt
9,096.56
11,964.51
8,132.49
9,305.01
9,589.96
Repayment of Debt
-6,857.75
-10,579.55
-10,365.73
-11,221.51
-10,970.47
Repurchase of Capital Stock
Free Cash Flow
-2,898.84
-2,472.08
-504.79
245.00
-530.87