LG Electronics

066570 · KRX · KRW

216.000,00 ₩Variación respecto al cierre anterior: +2,13 %Variación absoluta: +4500,00 ₩

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+1,68 %
2025 frente a 2024
Crecimiento del beneficio neto
+161,37 %
2025 frente a 2024
Margen neto
1,1 %
2024: 0,4 %

Datos financieros

Importes en millones de KRW; valores por acción en KRW; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total73.696.20671.234.53368.620.16767.170.13562.361.78465.949.34265.629.58964.321.91863.125.92661.366.10860.240.79361.903.092
Activo corriente38.683.03936.736.67334.802.29334.718.47731.091.04634.464.74133.919.89934.517.52132.829.61031.064.99530.337.05432.619.905
Efectivo y equivalentes10.069.4938.631.6428.769.8417.958.0787.575.6916.985.0407.573.0367.692.3268.554.5307.009.5888.487.5638.112.196
Inversiones a corto plazo3.07869.81426.34131.19729.87432.08246.68143.426174.28228.82426.386146.523
Cuentas por cobrar12.478.87412.428.01711.849.48711.490.0189.876.81611.648.00712.028.63711.076.78010.184.31810.289.8839.755.21810.827.856
Existencias12.186.50611.660.16411.084.96211.455.9689.760.67010.686.26810.729.36011.015.8909.933.76510.036.9379.125.4049.948.466
Inmovilizado material neto17.072.20916.898.18416.714.33116.542.23216.357.64016.861.95217.075.23116.462.69816.714.84416.710.35816.818.62916.749.478
Fondo de comercio——454.801———305.169———281.534—
Otros activos intangibles4.572.5274.480.0912.775.9913.993.5903.683.2063.602.2352.312.7473.283.0573.104.9172.930.8001.886.6752.685.920
Inversiones a largo plazo3.577.1633.523.4883.538.8373.414.0043.221.2932.871.0023.256.9613.387.6403.322.8955.608.0073.426.8903.330.459
Pasivo corriente29.627.55427.808.47727.183.16027.597.27923.976.82726.482.76127.307.43926.768.91024.202.62824.083.61324.160.38025.114.951
Proveedores11.414.08911.593.40310.582.06011.188.1518.720.46010.464.5569.884.77010.652.9059.571.4709.978.0199.427.28810.848.196
Deuda a largo plazo9.162.90810.031.75410.180.04910.059.75110.039.48910.535.66611.093.28211.255.54811.834.28110.975.50210.719.17510.790.609
Deuda total14.198.43114.057.55913.960.33514.369.50714.160.906———————
Pasivo total41.778.57140.705.30340.068.14240.250.54436.491.82339.702.71540.417.92539.902.59437.880.55736.906.70336.742.25737.677.993
Patrimonio neto (incl. minoritarios)31.917.63530.529.23028.552.02526.919.59125.869.96126.246.62725.211.66424.419.32425.245.36924.459.40523.498.53624.225.099
Reservas18.911.18418.178.79717.419.33318.025.79217.744.01817.003.93616.352.77316.844.25216.998.08316.531.38816.201.43916.755.249
Intereses minoritarios5.129.0784.959.2024.664.6324.307.3984.158.2514.260.0324.216.8953.991.0764.028.5293.967.5803.833.7823.681.051