Louisiana-Pacific Corporation (LPX) — Free Cash Flow Generation Index

Latest as of December 2025: -0.12x

Louisiana-Pacific Corporation (LPX) has a Free Cash Flow Generation Index of -0.12x as of December 2025. Free cash flow of $-8.00 Million represents 0% of operating cash flow ($67.00 Million). See Louisiana-Pacific Corporation working capital to net assets to evaluate short-term liquidity relative to the company's equity base.

FCF Generation Index

-0.12x
Free Cash Flow / Operating CF

Free Cash Flow

$-8.00 Million
USD

Operating Cash Flow

$67.00 Million
USD

Capital Expenditures

$75.00 Million
USD

Louisiana-Pacific Corporation Free Cash Flow Generation Index (1989–2025)

Historical FCF Generation Index trend for Louisiana-Pacific Corporation across 33 annual periods. Explore Louisiana-Pacific Corporation cash debt coverage ratio to assess how comfortably operating cash covers total debt obligations.

Annual Free Cash Flow Generation for Louisiana-Pacific Corporation (1989–2025)

Year-by-year Free Cash Flow Generation Index for Louisiana-Pacific Corporation. For the full company profile including market capitalisation, see Louisiana-Pacific Corporation (LPX) market capitalisation.

Year FCG Index Free Cash Flow (USD) Operating CF Capital Expenditures YoY Change
2025 0.24x $91.00 Million $382.00 Million $291.00 Million ▼ -65.8%
2024 0.70x $422.00 Million $605.00 Million $183.00 Million ▲ +1277.6%
2023 0.05x $16.00 Million $316.00 Million $300.00 Million ▼ -92.1%
2022 0.64x $730.00 Million $1.14 Billion $414.00 Million ▼ -23.0%
2021 0.83x $1.23 Billion $1.48 Billion $254.00 Million ▼ -6.2%
2020 0.88x $582.00 Million $659.00 Million $77.00 Million ▲ +3610.5%
2019 -0.03x $-4.00 Million $159.00 Million $163.00 Million ▼ -104.3%
2018 0.58x $296.30 Million $510.50 Million $214.20 Million ▼ -15.4%
2017 0.69x $325.10 Million $473.70 Million $148.60 Million ▲ +8.0%
2016 0.64x $217.50 Million $342.30 Million $124.80 Million ▲ +120.2%
2015 -3.14x $-86.30 Million $27.50 Million $113.80 Million ▼ -556.0%
2013 0.69x $166.90 Million $242.50 Million $75.60 Million ▼ -5.7%
2012 0.73x $84.20 Million $115.40 Million $31.20 Million ▲ +4.7%
2010 0.70x $33.30 Million $47.80 Million $14.50 Million ▼ -17.3%
2009 0.84x $51.20 Million $60.80 Million $9.60 Million ▲ +393.7%
2006 -0.29x $-52.70 Million $183.80 Million $236.50 Million ▼ -143.3%
2005 0.66x $340.30 Million $514.00 Million $173.70 Million ▼ -12.2%
2004 0.75x $453.80 Million $601.50 Million $147.70 Million ▼ -9.1%
2003 0.83x $422.80 Million $509.40 Million $86.60 Million ▲ +70.8%
2002 0.49x $43.00 Million $88.50 Million $45.50 Million ▼ -2.4%
2001 0.50x $74.00 Million $148.70 Million $74.70 Million ▲ +129.8%
2000 -1.67x $-137.80 Million $82.50 Million $220.30 Million ▼ -112.5%
1999 -0.79x $-371.40 Million $472.60 Million $844.00 Million ▼ -19432.3%
1998 0.00x $500.00K $123.00 Million $122.50 Million ▲ +100.3%
1997 -1.32x $-116.30 Million $88.20 Million $204.50 Million ▲ +86.4%
1996 -9.70x $-221.20 Million $22.80 Million $244.00 Million ▼ -11370.7%
1995 -0.08x $-28.30 Million $334.60 Million $362.90 Million ▼ -116.3%
1994 0.52x $309.90 Million $595.90 Million $286.00 Million ▼ -0.9%
1993 0.52x $230.10 Million $438.50 Million $208.40 Million ▼ -4.9%
1992 0.55x $198.90 Million $360.30 Million $161.40 Million ▲ +41.1%
1991 0.39x $97.90 Million $250.20 Million $152.30 Million ▲ +222.1%
1990 -0.32x $-80.20 Million $250.20 Million $330.40 Million ▼ -187.0%
1989 0.37x $130.10 Million $353.20 Million $223.10 Million
FCG Index = Free Cash Flow / Operating Cash Flow. FCF = Operating CF + Capital Expenditures (capex stored negative).