Larsen & Toubro Ltd

NSE :LT   BSE :500510  Sector : Infrastructure Developers & Operators
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04 Oct
3493.95
(-0.11%)
03 Oct
3497.65
(-4.27%)
01 Oct
3653.50
(-0.60%)
30 Sep
3675.55
(-0.81%)
27 Sep
3705.65
(-1.50%)
26 Sep
3762.15
(-0.84%)
25 Sep
3793.85
(0.06%)
24 Sep
3791.60
(0.10%)
23 Sep
3787.70
(-0.16%)
20 Sep
3793.90
(2.99%)
19 Sep
3683.70
(-1.25%)
18 Sep
3730.45
(0.95%)
17 Sep
3695.20
(0.90%)
16 Sep
3662.25
(1.36%)
13 Sep
3613.00
(-0.25%)
12 Sep
3622.00
(2.40%)
11 Sep
3536.95
(-1.65%)
10 Sep
3596.15
(0.50%)
09 Sep
3578.30
(0.10%)
06 Sep
3574.75
(-1.36%)
05 Sep
3624.15
(-0.73%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Neutral

Long Term Investors

Neutral

Moving Averages

5 DMA
Bearish

3604.47


10 DMA
Bearish

3695.46


20 DMA
Bearish

3662.15


50 DMA
Bearish

3649.53


100 DMA
Bearish

3615.87


200 DMA
Bearish

3575.46



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Oct 04, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 3627.21 3590.38 3517.34 - -
R2 3590.38 3557.89 3509.54 3587.54 -
R1 3542.16 3537.82 3501.75 3536.48 3566.28
P 3505.33 3505.33 3505.33 3502.49 3517.39
S1 3457.11 3472.84 3486.15 3451.43 3481.23
S2 3420.28 3452.77 3478.36 3417.44 -
S3 3372.06 3420.28 3470.56 - -

Key Metrics

EPS

75.89

P/E

46

P/B

7.45

Dividend Yield

0.97%

Market Cap

4,80,416 Cr.

Face Value

2

Book Value

468.48

ROE

17.72%

EBITDA Growth

7,965.46 Cr.

Debt/Equity

1.35

Shareholding Pattern

  0% Total Promoter Holding
17.89% Mutual Fund Holdings
22.54% FIIs
37.37% Non Institution
17.74% Insurance Companies
1.36% Custodians
3.1% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Larsen & Toubro Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME 49027.93 52157.02 55965.57 68234.86 56040.46
PROFIT 2493 3222.63 2947.36 4325.83 2785.72
EPS 17.74 22.94 21.44 31.98 20.26

Larsen & Toubro Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME 28304.39 30387.4 32826.52 40644.61 32727.27
PROFIT 1478.2 2709.72 2136.18 2627.91 2961.34
EPS 12.75 19.29 15.54 19.4 21.54

Profit & Loss (Figures in Rs. Crores)


Larsen & Toubro Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 94139.7 102635.91 110974.35 122758.07 138652.01 147820.13 147302.93 160961.84 190102.82 224364.31
PROFIT 4252.62 4137.65 5924.32 8768.57 8683.96 9573.89 14162.99 8107.96 10080.47 12868.68
EPS 33.5 39.95 49.17 60.23 72.98 77.09 91.89 73.24 89.82 113.26

Larsen & Toubro Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 59873.55 66002.01 69444.04 77847.91 88310.19 86520.29 98904.15 106824.72 117466.66 131751.09
PROFIT 4457.86 4400.03 4763.06 5018.79 6233.27 6214.5 13723.35 7273.82 8095.05 8695.35
EPS 35.3 35.78 38.97 38.44 53.41 47.58 84 56.08 55.84 67.69

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 274.93281.1496.661,404.571,684.811,256.841,185.531,333.611,499.29185.91
Reserves Total 86,084.3189,044.8582,126.6575,587.6266,442.4461,941.0554,466.4749,876.7343,994.0640,723.16
Equity Application Money00000153.2156.76153.200
Total Shareholders Funds86,359.2489,325.9582,623.3176,992.1968,127.2563,351.0955,808.7651,363.5445,493.3540,909.07
Minority Interest16,190.4214,241.2712,966.0712,051.539,520.836,826.115,201.433,563.62,892.844,998.62
Secured Loans 78,930.8781,689.1880,290.2590,426.6894,345.4377,090.7762,612.6250,601.4848,078.0554,933.39
Unsecured Loans 37,391.3538,961.2645,002.1843,078.7447,424.2147,488.1144,006.242,205.4538,744.4538,696.16
Total Debt1,16,322.221,20,650.441,25,292.431,33,505.421,41,769.641,24,578.881,06,618.8292,806.9386,822.593,629.55
Other Liabilities1,701.471,224.68961.981,029.221,640.9912.22945.46924.83747.21,850.49
Total Liabilities2,20,573.352,25,442.342,21,843.792,23,578.362,21,058.621,95,668.31,68,574.471,48,658.91,35,955.891,41,387.73
APPLICATION OF FUNDS :
Gross Block 61,430.5858,756.156,494.6356,577.3153,120.9228,644.4124,422.1720,706.3916,522.4145,783.38
Less: Accumulated Depreciation18,258.4215,872.8813,313.4811,284.059,229.577,225.735,575.963,878.182,346.7110,744.71
Less: Impairment of Assets208.34242.22236.14973.94237.97224.74266.02151.1061.25
Net Block42,963.8242,64142,945.0144,319.3243,653.3821,193.9418,580.1916,677.1114,175.734,977.42
Lease Adjustment000000000-239.36
Capital Work in Progress3,045.013,065.571,249.55500.393,311.0913,919.4913,443.4313,297.9410,974.4514,992.78
Investments 45,647.8244,798.3139,395.1839,626.6320,047.4820,907.115,311.3119,753.0215,465.089,612.12
Inventories 6,620.196,828.785,943.325,820.545,746.656,413.934,847.84,139.744,854.216,508.4
Sundry Debtors 48,770.9544,731.5346,139.3242,229.7840,731.5236,845.8733,116.9828,688.9726,024.9830,089.37
Cash and Bank Balance15,358.3922,519.618,953.1716,241.515,117.7811,726.248,032.735,305.965,389.915,756.21
Loans and Advances 1,11,367.351,11,562.191,07,367.6999,663.781,08,394.1997,859.2386,168.6969,406.3666,426.4543,457.97
Total Current Assets1,82,116.881,85,642.11,78,403.51,63,955.61,69,990.141,52,845.271,32,166.21,07,541.031,02,695.5585,811.95
Current Liabilities 1,13,202.2899,392.6192,518.4482,346.9981,36878,787.3471,387.1760,003.6555,747.7748,334.53
Provisions 5,317.984,886.934,665.684,169.74,260.473,580.593,277.892,908.12,387.013,543.81
Total Current Liabilities & Provisions1,18,520.261,04,279.5497,184.1286,516.6985,628.4782,367.9374,665.0662,911.7558,134.7851,878.34
Net Current Assets63,596.6281,362.5681,219.3877,438.9184,361.6770,477.3457,501.1444,629.2844,560.7733,933.61
Deferred Tax Assets11,272.110,357.159,610.48,409.826,054.565,831.334,658.084,946.013,355.731,882.03
Deferred Tax Liability7,942.017,002.797,809.636,891.483,661.022,723.532,541.083,820.812,619.31,697.39
Net Deferred Tax3,330.093,354.361,800.771,518.342,393.543,107.82,1171,125.2736.43184.64
Other Assets61,989.9950,220.5455,233.960,174.7767,291.4666,062.6361,621.453,176.3550,043.4647,926.52
Total Assets2,20,573.352,25,442.342,21,843.792,23,578.362,21,058.621,95,668.31,68,574.471,48,658.91,35,955.891,41,387.73
Contingent Liabilities18,987.8517,510.6519,756.9618,414.621,839.7923,068.522,816.2819,853.3318,745.43,210.92
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 274.93281.1281.01280.91280.78280.55280.27186.59186.3185.91
Reserves Total 64,141.1171,246.8566,833.0461,456.9151,894.5749,614.6748,737.2245,672.9541,949.0136,898.67
Equity Application Money00000153.2156.76153.200
Total Shareholders Funds64,416.0471,527.9567,114.0561,737.8252,175.3550,048.4249,174.2546,012.7442,135.3137,084.58
Secured Loans 250.361,381.321,380.912,168.861,750.08525.17848.13822.4664.04
Unsecured Loans 22,786.6118,338.1719,095.3923,283.5523,772.8910,239.6110,035.839,710.2413,102.0812,272.55
Total Debt22,811.6118,338.5320,476.7124,664.4625,941.7511,989.6910,56110,558.3713,924.4812,936.59
Other Liabilities796.211,750.91798.36750.15791.07579.89582.78563.11449.78464.45
Total Liabilities88,023.8691,617.3988,389.1287,152.4378,908.1762,61860,318.0357,134.2256,509.5750,485.62
APPLICATION OF FUNDS :
Gross Block 20,295.2417,750.2916,045.7915,217.6812,665.1313,163.1110,282.529,409.238,368.9512,290.36
Less : Accumulated Depreciation 9,154.917,891.716,829.995,949.974,720.164,468.613,239.482,261.641,100.484,793
Less:Impairment of Assets100.67102.62102.62102.62104.6102.5102.5110306.93
Net Block 11,039.669,755.969,113.189,165.097,840.378,5926,940.537,044.597,268.477,490.43
Lease Adjustment000000000-3.07
Capital Work in Progress1,423.671,954.77582.76286.72797.21739652.87503.78412.13494.04
Investments 47,542.1147,261.2645,527.7249,413.5734,034.4322,904.1527,339.2426,758.8924,438.0823,052.9
Inventories 3,520.973,428.563,132.512,877.572,769.93,349.242,500.051,762.861,955.112,270.72
Sundry Debtors 36,961.5533,152.5836,347.3533,331.627,912.9628,212.5522,917.4519,921.9518,967.7523,051.11
Cash and Bank Balance4,769.194,569.646,498.514,175.543,938.397,619.974,318.063,535.723,570.261,515.8
Loans and Advances 61,426.2960,824.557,561.2752,627.6754,954.7147,170.5645,321.8537,896.8637,794.725,065.13
Total Current Assets1,06,6781,01,975.281,03,539.6493,012.3889,575.9686,352.3275,057.4163,117.3962,287.8251,902.76
Current Liabilities 84,301.6478,175.6677,591.8170,696.0760,464.1160,237.2153,818.4643,965.3242,187.5633,532.15
Provisions 2,957.192,631.442,521.352,067.122,184.311,804.521,470.191,138.9923.822,523
Total Current Liabilities & Provisions87,258.8380,807.180,113.1672,763.1962,648.4262,041.7355,288.6545,104.2243,111.3836,055.15
Net Current Assets19,419.1721,168.1823,426.4820,249.1926,927.5424,310.5919,768.7618,013.1719,176.4415,847.61
Deferred Tax Assets1,993.942,035.831,646.281,3761,908.591,551.211,097.83964.78156.14583.05
Deferred Tax Liability406.82496.69505.98621.73480.39709.35697.21679.560946.04
Net Deferred Tax1,587.121,539.141,140.3754.271,428.2841.86400.62285.22156.14-362.99
Other Assets7,012.139,938.088,598.687,283.597,880.425,230.45,216.014,528.575,058.313,966.7
Total Assets88,023.8691,617.3988,389.1287,152.4378,908.1762,61860,318.0357,134.2256,509.5750,485.62
Contingent Liabilities1,46,871.7994,044.4460,292.6435,714.2951,293.2955,594.4444,613.4640,661.9830,184.7819,822.55

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...20,423.5
Depreciation3,682.33
Interest (Net)1,098.78
Dividend Received226.08
P/L on Sales of Assets-95.44
P/L on Sales of Invest-514.38
Prov. and W/O (Net)1,055.47
P/L in Forex-22.9
Others-13,087.97
Total Adjustments (PBT and Ext...4,507.91
Operating Profit before Workin...24,931.41
Trade and 0ther Receivables-10,548.4
Inventories244.68
Trade Payables14,506.53
Loans and Advances-5,587.89
Total Adjustments (OP before W...-1,385.08
Cash Generated from/(used in) ...23,546.33
Direct Taxes Paid-5,280.05
Total Adjustments(Cash Generat...-5,280.05
Cash Flow before Extraordinary...18,266.28
Net Cash from Operating Activi...18,266.28
Purchased of Fixed Assets-4,516.53
Sale of Fixed Assets306.06
Purchase of Investments-4,889.46
Sale of Investments4,931.36
Interest Received2,408.16
Cancellation of Investment in ...214.68
Acquisition of Companies-18.11
Net Cash used in Investing Act...2,178.89
Proceeds from Issue of shares ...9.65
Proceed from 0ther Long Term B...23,175.08
Of the Long Tem Borrowings-27,227.8
Of Financial Liabilities-459.89
Dividend Paid-4,216.95
Interest Paid-3,605.48
Net Cash used in Financing Act...-25,413.36
Net Profit before Tax and Extr...10,868.32
Depreciation1,751.01
Interest (Net)757.63
Dividend Received2,655.67
P/L on Sales of Assets-58.67
P/L on Sales of Invest-284.78
Prov. and W/O (Net)-70.24
P/L in Forex-45.29
Others-12,279.88
Total Adjustments (PBT and Ext...-514.34
Operating Profit before Workin...10,353.98
Trade and 0ther Receivables-5,434.8
Inventories-74.95
Trade Payables6,078.46
Total Adjustments (OP before W...568.71
Cash Generated from/(used in) ...10,922.69
Direct Taxes Paid-2,629.14
Total Adjustments(Cash Generat...-2,629.14
Cash Flow before Extraordinary...8,293.55
Net Cash from Operating Activi...8,293.55
Purchased of Fixed Assets-2,916.46
Sale of Fixed Assets94.55
Sale of Investments4,791.49
Interest Received2,034.17
Loans to Subsidiaires-110.21
Investment in Group Cos.-3,719.66
Cancellation of Investment in ...186.67
Net Cash used in Investing Act...6,365.23
Proceeds from Issue of shares ...9.65
Proceed from 0ther Long Term B...9,176.61
Of the Long Tem Borrowings-4,845
Of Financial Liabilities-98.7
Dividend Paid-4,216.95
Interest Paid-2,267.79
Net Cash used in Financing Act...-14,522.06

Company Details

Registered Office
AddressL&T House,
Ballard Estate
CityMumbai
StateMaharashtra
Pin Code400001
Tel. No.91-22-67525656
Fax. No.91-22-67525893
Emailigrc@larsentoubro.com
Internethttp://www.larsentoubro.com
Registrars
AddressL&T House
CityMumbai
StateMaharashtra
Pin Code400001
Tel. No.91-22-67525656
Fax. No.91-22-67525893
Emailigrc@larsentoubro.com
Internethttp://www.larsentoubro.com
Management
Name Designation
A M NaikChairman Emeritus
S N SubrahmanyanChairman & Managing Director
R Shankar RamanWTD, President & CFO
Adil ZainulbhaiNon-Exec. & Independent Dir.
Subramanian SarmaPresident & Whole-time Dir.
Sanjeev AgaNon-Exec. & Independent Dir.
Narayanan KumarNon-Exec. & Independent Dir.
Sivaram Nair ACompany Sec. & Compli. Officer
SUDHINDRA VASANTRAO DESAIWhole Time Director & SeniorVP
T Madhava DasWhole Time Director & SeniorVP
Preetha ReddyIndependent Director
Pramit JhaveriIndependent Director
JYOTI SAGARIndependent Director
Rajnish KumarIndependent Director
ANIL VITHAL PARABWhole Time Director & SeniorVP
Ajay TyagiIndependent Director
P R RameshIndependent Director
Siddhartha MohantyNominee (LIC)