Larsen And Toubro Cash Flow Annual

BSE: 500510 | NSE: LT | ISIN: INE018A01030 | Sector: Construction Services
3,588.25 -15.40 (-0.43%)Updated : 13 Jun 2025
Fiscal Period2025202420232022
Period End DateMar 25Mar 24Mar 23Mar 22
Net Income/ Starting Line 23,104.0120,423.5016,973.0414,410.73
Depreciation/ Depletion 4,121.183,682.333,502.252,947.95
Non- Cash Items -399.43825.582,049.691,600.40
Changesin Working Capital -17,665.05-6,665.13251.98204.50
Cashfrom Operating Activities 9,160.7118,266.2822,776.9619,163.58
Capital Expenditures -4,418.83-4,516.53-4,143.79-3,110.63
Other Investing Cash Flow Items Total -11,098.686,679.57-4,167.91-557.05
Cashfrom Investing Activities -15,517.512,163.04-8,311.70-3,667.68
Financing Cash Flow Items -4,755.43-6,643.80-3,571.38-3,843.69
Total Cash Dividends Paid -3,849.57-4,216.95-3,091.42-2,528.38
Issuance( Retirement)of Stock Net 9.32-9,990.3510.3110.97
Issuance( Retirement)of Debt Net 15,152.30-4,562.26-4,920.00-8,820.38
Cashfrom Financing Activities 6,556.62-25,413.36-11,572.49-15,181.48
Foreign Exchange Effects 28.6815.85263.6882.30
Net Changein Cash 228.50-4,968.193,156.45396.72
Cash Interest Paid 3,609.493,605.483,046.732,967.92
Cash Taxes Paid 5,601.105,280.055,127.164,552.13
period Length 12.0012.0012.0012.00
period Type ----
*All figures in crores except per share values
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