bf/NYSE:LPX_icon.jpeg

NYSE:LPX

Louisiana-Pacific Corporation

  • Stock

USD

Last Close

86.97

10/05 20:00

Market Cap

4.75B

Beta: 1.63

Volume Today

1.19M

Avg: 948.88K

PE Ratio

44.35

PFCF: −27.22

Dividend Yield

1.47%

Payout:63.21%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
175.40M
-
-75.40M
142.99%
-88.10M
16.84%
149.80M
270.03%
389.80M
160.21%
394.60M
1.23%
-10M
102.53%
497M
5,070%
1.37B
176.26%
1.08B
21.12%
178M
83.56%
depreciation and amortization
91.30M
-
100.70M
10.30%
101.90M
1.19%
112.80M
10.70%
123.30M
9.31%
120M
2.68%
123M
2.50%
111M
9.76%
119M
7.21%
132M
10.92%
119M
9.85%
deferred income tax
35.70M
-
-24.50M
168.63%
-6.90M
71.84%
13.20M
291.30%
-20.30M
253.79%
-20.60M
1.48%
10M
148.54%
2M
80%
7M
250%
1M
85.71%
44M
4,300%
stock based compensation
8.80M
-
9.40M
6.82%
9.30M
1.06%
13M
39.78%
9.70M
25.38%
8.60M
11.34%
76M
783.72%
16M
78.95%
17M
6.25%
19M
11.76%
77M
305.26%
change in working capital
33M
-
-76M
330.30%
-10.90M
85.66%
48.10M
541.28%
-57.10M
218.71%
9.70M
116.99%
-60M
718.56%
15M
125%
-44M
393.33%
-30M
31.82%
-128M
326.67%
accounts receivables
4.50M
-
-34.10M
857.78%
10.60M
131.09%
-8.90M
183.96%
-35M
293.26%
3.40M
109.71%
-21M
717.65%
-53M
152.38%
-14M
73.58%
22M
257.14%
-8M
136.36%
inventory
-17.70M
-
-9.20M
48.02%
3.50M
138.04%
-11M
414.29%
-22.70M
106.36%
-1.90M
91.63%
3M
257.89%
-12M
500%
-71M
491.67%
-66M
7.04%
-46M
30.30%
accounts payables
12.40M
-
-7.80M
162.90%
-20.30M
160.26%
53.80M
365.02%
22.50M
58.18%
-20.70M
192%
-4M
80.68%
30M
850%
46M
53.33%
15M
67.39%
-40M
366.67%
other working capital
33.80M
-
-24.90M
173.67%
-4.70M
81.12%
14.20M
402.13%
-21.90M
254.23%
28.90M
231.96%
-38M
231.49%
50M
231.58%
-5M
110.00%
-1M
80%
-34M
3,300%
other non cash items
-101.70M
-
12.90M
112.68%
22.20M
72.09%
5.40M
75.68%
28.30M
424.07%
-1.80M
106.36%
20M
1,211.11%
18M
10%
12M
33.33%
-61M
608.33%
26M
142.62%
net cash provided by operating activities
242.50M
-
-52.90M
121.81%
27.50M
151.98%
342.30M
1,144.73%
473.70M
38.39%
510.50M
7.77%
159M
68.85%
659M
314.47%
1.48B
125.19%
1.14B
22.91%
316M
72.38%
investments in property plant and equipment
-75.60M
-
-80.10M
5.95%
-113.80M
42.07%
-124.80M
9.67%
-148.60M
19.07%
-214.20M
44.15%
-163M
23.90%
-77M
52.76%
-254M
229.87%
-414M
62.99%
-300M
27.54%
acquisitions net
-50.60M
-
2.60M
105.14%
1.10M
57.69%
-20.80M
-
-45M
116.35%
27M
160%
15M
44.44%
268M
-
purchases of investments
-3M
-
sales maturities of investments
3M
-
other investing activites
108.80M
-
14M
87.13%
-3.20M
122.86%
411.10M
12,946.88%
-29.20M
107.10%
21M
171.92%
-1M
104.76%
13M
1,400%
7M
46.15%
-76M
-
net cash used for investing activites
-17.40M
-
-63.50M
264.94%
-115.90M
82.52%
286.30M
347.02%
-198.60M
169.37%
-238.20M
19.94%
-137M
42.49%
-49M
64.23%
-247M
404.08%
-146M
40.89%
-376M
157.53%
debt repayment
-113.20M
-
-2.30M
97.97%
-2.30M
0%
-742.50M
32,182.61%
-2.60M
99.65%
-24.70M
850%
-5M
79.76%
-350M
6,900%
-359M
2.57%
-80M
-
common stock issued
100K
-
700K
-
350M
-
350M
0%
common stock repurchased
-100K
-
3.70M
3,800%
-100K
102.70%
-400K
300%
-211.80M
52,850%
-638M
201.23%
-200M
68.65%
-1.30B
550%
-900M
30.77%
dividends paid
-3.70M
-
-74.40M
-
-65M
12.63%
-65M
0%
-66M
1.54%
-69M
4.55%
-69M
0%
other financing activites
-13.30M
-
-1.50M
88.72%
-2.80M
86.67%
335.60M
12,085.71%
-6.40M
101.91%
-6.10M
4.69%
-9M
47.54%
-7M
22.22%
-13M
85.71%
-13M
0%
72M
653.85%
net cash used provided by financing activities
-126.40M
-
-3.90M
96.91%
-4.40M
12.82%
-407M
9,150%
-9.40M
97.69%
-317M
3,272.34%
-717M
126.18%
-272M
62.06%
-1.39B
410.29%
-982M
29.25%
-77M
92.16%
effect of forex changes on cash
-2.80M
-
-3.80M
35.71%
-5.20M
36.84%
3M
157.69%
3M
0%
-4.80M
260%
-2M
58.33%
2M
200%
-14M
800%
-5M
64.29%
-24M
380%
net change in cash
95.90M
-
-124.10M
229.41%
-98M
21.03%
224.60M
329.18%
268.70M
19.63%
-49.50M
118.42%
-697M
1,308.08%
340M
148.78%
-164M
148.24%
12M
107.32%
-161M
1,441.67%
cash at beginning of period
560.90M
-
656.80M
17.10%
532.70M
18.89%
434.70M
18.40%
659.30M
51.67%
941.30M
42.77%
892M
5.24%
195M
78.14%
535M
174.36%
371M
30.65%
383M
3.23%
cash at end of period
656.80M
-
532.70M
18.89%
434.70M
18.40%
659.30M
51.67%
928M
40.76%
891.80M
3.90%
195M
78.13%
535M
174.36%
371M
30.65%
383M
3.23%
222M
42.04%
operating cash flow
242.50M
-
-52.90M
121.81%
27.50M
151.98%
342.30M
1,144.73%
473.70M
38.39%
510.50M
7.77%
159M
68.85%
659M
314.47%
1.48B
125.19%
1.14B
22.91%
316M
72.38%
capital expenditure
-75.60M
-
-80.10M
5.95%
-113.80M
42.07%
-124.80M
9.67%
-148.60M
19.07%
-214.20M
44.15%
-163M
23.90%
-77M
52.76%
-254M
229.87%
-414M
62.99%
-300M
27.54%
free cash flow
166.90M
-
-133M
179.69%
-86.30M
35.11%
217.50M
352.03%
325.10M
49.47%
296.30M
8.86%
-4M
101.35%
582M
14,650%
1.23B
111.34%
730M
40.65%
16M
97.81%

All numbers in USD (except ratios and percentages)