Amendment Regarding Decision to Guarantee the Payment Obligation of a Third Party
This Report of Foreign Private Issuer on Form 6-K/A (this Amended Report) is furnished to
amend the Report of Foreign Private Issuer on Form 6-K furnished by LG Display Co., Ltd. (the Company) to the Securities and Exchange Commission on April 27, 2022 under the title
Decision to Guarantee the Payment Obligation of a Third Party (the Original Report) to update certain information in items numbered 2., 4.d., 7.b. and 7.h. appearing therein. The entirety of the Original Report, as hereby
amended by this Amended Report is set forth below:
1. Debtor: LG Display Vietnam Haiphong Co., Ltd.
a. Relationship to the Company: Subsidiary
2.
Creditors: The Export-Import Bank of Korea, Australia and New Zealand Banking Group Limited, The Hongkong and Shanghai Banking Corporation Limited, Citibank Korea Inc. and CaixaBank, S.A.
3. Debt Amount: Korean Won (KRW) 1,870,650,000,000
4. Details of the Debt Guarantee
a. Amount of
the Debt Guarantee: KRW 1,870,650,000,000
b. Total Equity of the Company: KRW 14,762,501,125,307
c. Debt Guarantee to Total Equity Ratio: 12.67%
d. Term of the Debt Guarantee: June 28, 2022 to July 31, 2029
5. Total Balance of the Companys Existing Financial Guarantees: KRW 1,118,925,832,333
6. Resolution of Board of Directors
a. Date:
April 26, 2022
b. Attendance of Outside Directors: 3 out of 4 outside directors
7. Remarks
a. The Company expects to guarantee
(the Debt Guarantee) a certain payment obligation of the Companys foreign subsidiary, LG Display Vietnam Haiphong Co., Ltd. (LGD Vietnam), in connection with borrowings by LGD Vietnam in the principal amount of U.S.
Dollars (USD) 1,500,000,000, for the purpose of expanding the Companys OLED business.
b. Of the total principal amount
of the borrowings set forth in the item numbered 7.a. above, the identity of the creditor with respect to the principal amount of USD 500,000,000 is not confirmed as of the date hereof.