LG Electronics Inc
XMUN:LGLG
Balance Sheet
Balance Sheet Decomposition
LG Electronics Inc
LG Electronics Inc
Balance Sheet
LG Electronics Inc
| Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||||||||||||||||
| Cash & Cash Equivalents |
902 877
|
1 581 545
|
2 716 196
|
2 981 502
|
2 101 302
|
2 524 654
|
3 929 286
|
2 423 787
|
1 944 162
|
2 345 465
|
2 185 000
|
2 645 270
|
2 244 406
|
2 710 156
|
3 015 137
|
3 350 597
|
4 270 388
|
4 777 368
|
5 896 309
|
6 051 516
|
6 322 360
|
8 475 421
|
7 557 206
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 640
|
5 320
|
18 519
|
479
|
571
|
396
|
0
|
362
|
411
|
544
|
533
|
412
|
|
| Cash Equivalents |
902 877
|
1 581 545
|
2 716 196
|
2 981 502
|
2 101 302
|
2 524 654
|
3 929 286
|
2 423 787
|
1 944 162
|
2 345 465
|
2 185 000
|
2 640 630
|
2 239 086
|
2 691 637
|
3 014 658
|
3 350 026
|
4 269 992
|
4 777 368
|
5 895 947
|
6 051 105
|
6 321 816
|
8 474 888
|
7 556 794
|
|
| Short-Term Investments |
39 588
|
260 716
|
311 904
|
67 145
|
63 814
|
785 435
|
2 105 122
|
223 902
|
86 814
|
151 677
|
110 486
|
85 326
|
13 893
|
9 475
|
0
|
0
|
8 401
|
71 109
|
86 310
|
164 732
|
7 823
|
102 054
|
76 226
|
|
| Total Receivables |
4 312 826
|
5 398 520
|
5 464 396
|
5 266 761
|
5 119 717
|
6 824 909
|
7 951 999
|
8 544 932
|
7 666 705
|
7 435 865
|
8 057 035
|
7 823 842
|
8 556 451
|
7 886 104
|
7 731 733
|
8 744 878
|
7 739 584
|
7 819 297
|
8 380 853
|
9 302 867
|
9 633 113
|
11 110 870
|
13 639 335
|
|
| Accounts Receivables |
3 595 023
|
4 921 133
|
4 373 262
|
4 500 299
|
4 124 825
|
5 466 318
|
6 441 020
|
7 797 887
|
7 138 913
|
6 901 239
|
7 332 761
|
7 356 667
|
7 870 607
|
7 322 842
|
7 276 945
|
8 292 194
|
7 285 073
|
7 031 807
|
7 797 103
|
8 862 455
|
9 030 380
|
10 533 629
|
12 174 551
|
|
| Other Receivables |
717 803
|
477 387
|
1 091 134
|
766 462
|
994 892
|
1 358 591
|
1 510 979
|
747 045
|
527 792
|
534 626
|
724 274
|
467 175
|
685 844
|
563 262
|
454 788
|
452 684
|
454 511
|
787 490
|
583 750
|
440 412
|
602 733
|
577 241
|
1 464 784
|
|
| Inventory |
3 640 180
|
4 738 465
|
5 790 607
|
5 761 131
|
5 795 019
|
5 708 260
|
6 448 628
|
4 899 313
|
5 872 420
|
4 947 160
|
5 074 500
|
4 838 830
|
5 711 273
|
4 872 676
|
5 171 015
|
5 908 437
|
6 021 356
|
5 863 418
|
7 447 157
|
9 754 018
|
9 388 808
|
9 125 404
|
10 729 360
|
|
| Other Current Assets |
621 459
|
499 161
|
769 015
|
912 760
|
957 911
|
1 483 124
|
1 839 102
|
818 139
|
944 432
|
902 959
|
884 457
|
931 790
|
956 675
|
919 202
|
1 072 678
|
1 191 057
|
1 323 125
|
1 222 293
|
1 428 791
|
2 214 630
|
2 136 124
|
1 527 460
|
1 921 390
|
|
| Total Current Assets |
9 516 930
|
12 478 407
|
15 052 118
|
14 989 299
|
14 037 763
|
17 326 382
|
22 274 137
|
16 910 073
|
16 514 533
|
15 783 126
|
16 311 478
|
16 325 058
|
17 482 698
|
16 397 613
|
16 990 563
|
19 194 969
|
19 362 854
|
19 753 485
|
23 239 420
|
27 487 763
|
27 488 228
|
30 341 209
|
33 923 517
|
|
| PP&E Net |
7 393 223
|
8 928 888
|
12 317 527
|
15 739 327
|
16 322 930
|
14 406 331
|
16 253 027
|
7 708 933
|
6 500 484
|
7 290 413
|
9 889 204
|
10 341 993
|
10 596 853
|
10 460 298
|
11 222 428
|
11 800 782
|
13 333 951
|
14 505 419
|
13 973 998
|
14 700 784
|
15 831 838
|
16 818 629
|
17 075 231
|
|
| PP&E Gross |
7 393 223
|
8 928 888
|
12 317 527
|
0
|
0
|
14 406 331
|
16 253 027
|
7 708 933
|
6 500 484
|
7 290 413
|
0
|
10 341 993
|
10 596 853
|
10 460 298
|
11 222 428
|
11 800 782
|
13 333 951
|
14 505 419
|
13 973 998
|
14 700 784
|
15 831 838
|
16 818 629
|
17 075 231
|
|
| Accumulated Depreciation |
4 374 453
|
5 813 613
|
7 020 400
|
0
|
0
|
16 686 372
|
19 859 981
|
6 183 263
|
5 435 443
|
5 999 363
|
0
|
8 872 665
|
9 981 814
|
10 076 476
|
10 437 124
|
10 581 719
|
11 654 447
|
13 320 306
|
13 759 644
|
15 160 422
|
15 661 557
|
17 227 494
|
19 902 721
|
|
| Intangible Assets |
1 066 866
|
962 965
|
735 955
|
558 406
|
621 756
|
590 589
|
730 234
|
767 326
|
724 509
|
887 335
|
1 222 302
|
1 217 757
|
1 248 517
|
1 323 612
|
1 425 651
|
1 709 304
|
2 315 675
|
2 080 191
|
2 651 676
|
2 194 653
|
2 165 912
|
2 586 153
|
3 213 559
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
43 815
|
36 502
|
38 873
|
148 462
|
0
|
145 933
|
145 819
|
149 668
|
145 436
|
145 316
|
685 480
|
611 781
|
487 404
|
248 596
|
288 918
|
281 534
|
305 169
|
|
| Note Receivable |
47 753
|
48 473
|
81 509
|
106 286
|
117 805
|
101 558
|
79 880
|
114 889
|
174 257
|
206 346
|
603 233
|
193 328
|
159 455
|
117 974
|
99 259
|
105 381
|
320 088
|
643 933
|
688 682
|
681 199
|
869 966
|
2 423 324
|
2 641 260
|
|
| Long-Term Investments |
1 128 277
|
542 599
|
537 278
|
474 243
|
641 674
|
615 695
|
929 715
|
4 695 714
|
6 240 901
|
5 891 045
|
4 378 133
|
4 487 728
|
4 655 346
|
5 017 887
|
5 251 863
|
5 767 344
|
5 710 187
|
4 680 856
|
4 687 520
|
5 432 283
|
4 476 755
|
3 484 441
|
3 512 771
|
|
| Other Long-Term Assets |
914 627
|
1 096 725
|
1 192 964
|
1 255 622
|
1 612 490
|
1 543 872
|
2 061 490
|
1 881 075
|
2 124 942
|
2 451 730
|
2 361 700
|
2 816 267
|
2 779 732
|
2 846 844
|
2 720 069
|
2 497 863
|
2 600 208
|
2 584 210
|
2 475 527
|
2 736 200
|
4 034 524
|
4 305 503
|
4 958 082
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
43 815
|
36 502
|
38 873
|
148 462
|
0
|
145 933
|
145 819
|
149 668
|
145 436
|
145 316
|
685 480
|
611 781
|
487 404
|
248 596
|
288 918
|
281 534
|
305 169
|
|
| Total Assets |
20 067 676
N/A
|
24 058 057
+20%
|
29 917 351
+24%
|
33 123 183
+11%
|
33 354 418
+1%
|
34 584 427
+4%
|
42 372 298
+23%
|
32 114 512
-24%
|
32 318 499
+1%
|
32 658 457
+1%
|
34 766 050
+6%
|
35 528 064
+2%
|
37 068 420
+4%
|
36 313 896
-2%
|
37 855 269
+4%
|
41 220 959
+9%
|
44 328 443
+8%
|
44 859 875
+1%
|
48 204 227
+7%
|
53 481 478
+11%
|
55 156 141
+3%
|
60 240 793
+9%
|
65 629 589
+9%
|
|
| Liabilities | ||||||||||||||||||||||||
| Accounts Payable |
3 173 784
|
4 091 383
|
3 465 550
|
3 548 766
|
4 252 500
|
4 452 922
|
4 455 702
|
5 315 853
|
5 824 392
|
5 486 871
|
10 109 986
|
5 691 114
|
6 741 710
|
6 086 975
|
6 746 361
|
8 137 526
|
7 216 739
|
6 820 644
|
8 728 159
|
8 741 937
|
8 212 419
|
9 427 288
|
9 884 770
|
|
| Accrued Liabilities |
823 977
|
1 019 557
|
1 522 144
|
1 403 754
|
1 417 159
|
1 671 791
|
2 512 529
|
2 244 372
|
1 927 979
|
1 888 487
|
0
|
2 697 686
|
2 817 962
|
2 840 033
|
3 076 121
|
3 334 077
|
2 772 735
|
2 845 955
|
3 142 838
|
3 761 287
|
3 670 986
|
3 915 061
|
4 392 509
|
|
| Short-Term Debt |
3 767 173
|
4 185 319
|
5 862 396
|
5 152 708
|
5 031 265
|
4 258 478
|
6 016 143
|
3 221 498
|
3 327 277
|
1 673 417
|
1 277 363
|
903 798
|
1 164 790
|
910 031
|
596 541
|
314 246
|
293 221
|
271 541
|
196 774
|
330 086
|
885 911
|
707 605
|
564 410
|
|
| Current Portion of Long-Term Debt |
898 256
|
1 526 286
|
1 014 629
|
1 643 920
|
1 468 640
|
892 433
|
1 389 926
|
1 085 517
|
681 952
|
1 504 795
|
1 437 678
|
2 118 925
|
1 410 760
|
1 416 097
|
1 053 970
|
1 046 510
|
1 111 895
|
1 646 360
|
1 529 993
|
1 858 040
|
1 705 576
|
2 230 803
|
2 710 525
|
|
| Other Current Liabilities |
3 255 970
|
3 328 073
|
3 322 380
|
3 798 521
|
3 590 825
|
3 802 625
|
6 026 197
|
4 301 427
|
3 555 633
|
3 660 952
|
1 689 265
|
3 602 481
|
3 545 355
|
3 526 555
|
4 271 371
|
4 704 111
|
5 740 439
|
6 073 416
|
6 609 728
|
8 928 549
|
7 857 657
|
7 879 623
|
9 755 225
|
|
| Total Current Liabilities |
11 919 160
|
14 150 618
|
15 187 099
|
15 547 669
|
15 760 389
|
15 078 249
|
20 400 497
|
16 168 667
|
15 317 233
|
14 214 522
|
14 514 292
|
15 014 004
|
15 680 577
|
14 779 691
|
15 744 364
|
17 536 470
|
17 135 029
|
17 657 916
|
20 207 492
|
23 619 899
|
22 332 549
|
24 160 380
|
27 307 439
|
|
| Long-Term Debt |
3 855 186
|
4 218 764
|
5 436 337
|
5 653 344
|
5 840 490
|
5 540 293
|
5 455 268
|
2 601 583
|
3 183 706
|
4 257 406
|
5 923 346
|
6 188 306
|
6 426 881
|
6 501 122
|
7 008 500
|
8 089 724
|
9 496 070
|
9 340 861
|
9 055 048
|
8 698 849
|
9 549 935
|
11 575 426
|
11 967 467
|
|
| Deferred Income Tax |
15 795
|
21 049
|
20 931
|
114 563
|
262 423
|
578 227
|
634 742
|
25 682
|
10 253
|
15 237
|
10 568
|
7 651
|
6 012
|
5 800
|
9 586
|
8 759
|
127 014
|
128 407
|
131 809
|
37 052
|
46 801
|
35 025
|
35 077
|
|
| Minority Interest |
1 106 001
|
1 809 558
|
3 691 723
|
5 188 002
|
4 730 376
|
5 650 074
|
6 473 114
|
621 068
|
215 497
|
254 289
|
906 658
|
950 167
|
1 271 674
|
1 356 915
|
1 369 648
|
1 449 423
|
2 053 639
|
2 095 053
|
2 104 625
|
2 867 390
|
3 499 889
|
3 833 782
|
4 216 895
|
|
| Other Liabilities |
334 205
|
437 612
|
538 226
|
591 797
|
793 549
|
559 704
|
1 089 219
|
893 334
|
947 670
|
1 023 044
|
1 612 097
|
1 628 734
|
1 963 853
|
2 043 796
|
1 736 077
|
912 322
|
1 263 423
|
1 307 553
|
1 267 753
|
1 027 645
|
734 859
|
971 426
|
1 107 942
|
|
| Total Liabilities |
17 230 347
N/A
|
20 637 601
+20%
|
24 874 316
+21%
|
27 095 375
+9%
|
27 387 227
+1%
|
27 406 547
+0%
|
34 052 840
+24%
|
20 310 334
-40%
|
19 674 359
-3%
|
19 764 498
+0%
|
22 966 961
+16%
|
23 788 862
+4%
|
25 348 997
+7%
|
24 687 324
-3%
|
25 868 175
+5%
|
27 996 698
+8%
|
30 075 175
+7%
|
30 529 790
+2%
|
32 766 727
+7%
|
36 250 835
+11%
|
36 164 033
0%
|
40 576 039
+12%
|
44 634 820
+10%
|
|
| Equity | ||||||||||||||||||||||||
| Common Stock |
783 961
|
783 961
|
783 961
|
800 226
|
809 169
|
809 169
|
809 169
|
809 169
|
809 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
904 169
|
|
| Retained Earnings |
344 072
|
874 808
|
2 261 181
|
2 580 796
|
2 579 078
|
3 755 356
|
4 041 724
|
9 214 309
|
10 108 173
|
9 499 534
|
8 723 950
|
8 885 523
|
9 081 044
|
9 016 546
|
9 233 416
|
10 964 155
|
12 075 414
|
11 857 302
|
13 652 837
|
14 433 587
|
15 834 021
|
16 201 439
|
16 352 773
|
|
| Additional Paid In Capital |
1 697 161
|
1 723 058
|
1 993 942
|
2 595 157
|
2 539 631
|
2 559 605
|
2 651 911
|
2 217 810
|
2 217 810
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
3 098 070
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
62 000
|
81 490
|
71 053
|
46 391
|
86 779
|
186 811
|
213 169
|
165 789
|
145 953
|
7 360
|
17 096
|
19 702
|
12 232
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
44 893
|
|
| Other Equity |
12 135
|
38 629
|
3 951
|
51 629
|
39 313
|
53 750
|
816 654
|
392 217
|
446 119
|
562 921
|
820 207
|
1 022 177
|
1 247 914
|
1 300 929
|
1 116 889
|
1 510 429
|
1 566 323
|
1 318 774
|
2 026 730
|
1 167 650
|
782 163
|
474 329
|
696 882
|
|
| Total Equity |
2 837 329
N/A
|
3 420 456
+21%
|
5 043 035
+47%
|
6 027 808
+20%
|
5 967 191
-1%
|
7 177 880
+20%
|
8 319 458
+16%
|
11 804 178
+42%
|
12 644 140
+7%
|
12 893 959
+2%
|
11 799 089
-8%
|
11 739 202
-1%
|
11 719 423
0%
|
11 626 572
-1%
|
11 987 094
+3%
|
13 224 261
+10%
|
14 253 268
+8%
|
14 330 085
+1%
|
15 437 500
+8%
|
17 230 643
+12%
|
18 992 108
+10%
|
19 664 754
+4%
|
20 994 769
+7%
|
|
| Total Liabilities & Equity |
20 067 676
N/A
|
24 058 057
+20%
|
29 917 351
+24%
|
33 123 183
+11%
|
33 354 418
+1%
|
34 584 427
+4%
|
42 372 298
+23%
|
32 114 512
-24%
|
32 318 499
+1%
|
32 658 457
+1%
|
34 766 050
+6%
|
35 528 064
+2%
|
37 068 420
+4%
|
36 313 896
-2%
|
37 855 269
+4%
|
41 220 959
+9%
|
44 328 443
+8%
|
44 859 875
+1%
|
48 204 227
+7%
|
53 481 478
+11%
|
55 156 141
+3%
|
60 240 793
+9%
|
65 629 589
+9%
|
|
| Shares Outstanding | ||||||||||||||||||||||||
| Common Shares Outstanding |
160
|
160
|
159
|
163
|
164
|
164
|
164
|
164
|
164
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
180
|
|