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Larsen & Toubro Limited

LT.NS

NSE

3605

INR
+44.90(+1.26%)

As of today

Larsen & Toubro Limited fundamentals

Key ratios

P/E Ratio
31.29
Price/Book
5.08
Debt/Equity
135.59%
Return on Equity
16.05%
Dividend Yield
0.94%
EBITDA
379.54B

Statements Highlights

Period EndingMar 31, 2021Mar 31, 2022Mar 31, 2023Mar 31, 2024Mar 31, 2025
Total Revenue1,393,264,200,0001,556,724,600,0001,833,407,000,0002,191,156,900,0002,554,046,400,000
Gross Profit477,758,500,000559,339,500,000650,461,500,000730,868,700,000399,885,400,000
Operating Income156,219,800,000193,410,500,000234,448,900,000217,310,800,000265,123,900,000
Net Income115,829,300,00086,693,300,000104,707,200,000130,591,100,000150,371,100,000
Total Assets3,112,737,100,0003,200,489,200,0003,303,523,100,0003,396,272,400,0003,795,241,000,000
Total Current Liabilities1,374,080,100,0001,594,335,300,0001,620,659,900,0001,766,007,300,0002,019,709,000,000
Total Equity879,200,600,000953,737,300,0001,035,672,200,0001,025,496,600,0001,154,036,800,000
Free Cash Flow210,364,400,000160,529,500,000186,331,700,000137,497,500,00047,418,800,000
Cash from Operations230,738,200,000191,635,800,000227,769,600,000182,662,800,00091,607,100,000
Cash from Investing-56,585,200,000-36,676,800,000-83,117,000,00021,630,400,000-155,175,100,000
Cash from Financing-152,743,800,000-151,814,800,000-115,724,900,000-254,133,600,00065,566,200,000
Net Change in Cash20,489,500,0003,967,200,00031,564,500,000-49,681,900,0002,285,000,000

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