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LARSEN & TOUBRO
Cash Flow from Financing Activities

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LARSEN & TOUBRO Last 5 Year Cash Flow from Financing Activities History

[Consolidated]

Mar2025Mar2024Mar2023Mar2022Mar2021
Cash Flow from Financing Activities ₹6,557 Cr₹-25,413 Cr₹-11,572 Cr₹-15,181 Cr₹-15,274 Cr

What is the latest Cash Flow from Financing Activities ratio of LARSEN & TOUBRO ?

The latest Cash Flow from Financing Activities ratio of LARSEN & TOUBRO is ₹6,557 Cr based on Mar2025 Consolidated results.
Year Cash Flow from Financing Activities
Mar2025₹6,557 Cr
Mar2024₹-25,413 Cr
Mar2023₹-11,572 Cr
Mar2022₹-15,181 Cr
Mar2021₹-15,274 Cr

How is Cash Flow from Financing Activities of LARSEN & TOUBRO Trending?

Years Cash Flow from Financing Activities % Change
Mar2025 ₹6,557 Cr
Positive
Mar2024 ₹-25,413 Cr
Negative
Mar2023 ₹-11,572 Cr
Negative
Mar2022 ₹-15,181 Cr
Negative
Mar2021 ₹-15,274 Cr -

Compare Cash Flow from Financing Activities of peers of LARSEN & TOUBRO

Peers & Returns Market Capitalization 1 Week 1 Month 1 Year
LARSEN & TOUBRO ₹555,419.1 Cr 2.7% -3% 13.7% Stock Analytics
RAIL VIKAS NIGAM ₹67,648.5 Cr -5% -11.3% -24.2% Stock Analytics
IRB INFRASTRUCTURE DEVELOPERS ₹25,128.3 Cr 2.3% -2.8% -21.3% Stock Analytics
KALPATARU PROJECTS INTERNATIONAL ₹19,283.6 Cr 2.1% -5.7% 7.3% Stock Analytics
KEC INTERNATIONAL ₹16,391.3 Cr -4.5% -17.6% -24.1% Stock Analytics
AFCONS INFRASTRUCTURE ₹12,451.3 Cr 1.6% -13.4% -27.1% Stock Analytics


LARSEN & TOUBRO Share Price vs Sensex

Share Price Returns(%) 1 Week 1 Month 1 Year
LARSEN & TOUBRO

2.7%

-3%

13.7%

SENSEX

1.7%

-1.7%

10.3%


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