04 Oct, 10:29 - Indian

SENSEX 82384.74 (-0.14)

Nifty 50 25199.1 (-0.20)

Nifty Bank 51800.35 (-0.09)

Nifty IT 42144.3 (0.91)

Nifty Midcap 100 58871.15 (-0.26)

Nifty Next 50 75067.3 (-0.50)

Nifty Pharma 23243.4 (0.28)

Nifty Smallcap 100 18907.3 (-0.24)

04 Oct, 10:29 - Global

NIKKEI 225 38666.89 (0.30)

HANG SENG 22585.37 (2.13)

S&P 5764.75 (0.06)

LOGIN HERE

Larsen & Toubro Ltd

You are Here : Home > Markets > Company Information > Cash Flow
BSE Code : 500510 | NSE Symbol : LT | ISIN : INE018A01030 | Industry : Infrastructure Developers & Operators |


Cash Flow
Particulars (₹ Cr)Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Cash and Cash Equivalents at Begining of the year3,802.495,718.233,524.953,442.702,723.77
Net Cash from Operating Activities8,293.557,263.965,998.799,560.84-121.30
Net Cash Used In Investing Activities6,365.23-1,738.314,554.85-2,780.44-6,833.81
Net Cash Used In Financing Activities-14,522.06-7,441.39-8,360.36-6,698.157,418.62
Net Inc/(Dec) In Cash And Cash Equivalent136.72-1,915.742,193.2882.25463.51
Cash And Cash Equivalents At End Of The Year3,939.213,802.495,718.233,524.953,187.28