Rp3667.40
Rp0.00 (0.00%)
End-of-day quote: 06/01/2024
BSE:500510

Larsen & Toubro Annual Report

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
Rp2.25T Rp1.86T Rp1.59T Rp1.39T Rp1.48T Rp1.37T Rp1.21T Rp1.11T Rp1.02T Rp930.59B Rp860.18B Rp753.49B Rp651.29B Rp520.44B Rp435.29B
GM % Gross Margin %
35.18% 39.10% 36.82% 37.39% 33.70% 29.84% 30.87% 29.68% 30.88% 28.52% 27.88% 28.46% 27.88% 28.93% 34.67%
OM Operating Margin
10.64% 10.87% 11.04% 12.43% 11.02% 11.24% 10.95% 9.60% 9.36% 10.59% 12.42% 12.84% 13.43% 12.88% 14.49%
EPS Earnings Per Share
Rp0.00 Rp93.21 Rp73.48 Rp60.99 Rp49.10 Rp63.29 Rp61.93 Rp51.85 Rp42.38 Rp34.54 Rp32.29 Rp32.71 Rp35.21 Rp34.42 Rp30.62 Rp25.71
Div. Dividends
Rp30.24 Rp24.00 Rp22.00 Rp36.00 Rp18.00 Rp18.00 Rp16.00 Rp14.00 Rp12.17 Rp10.83 Rp9.50 Rp8.22 Rp7.33 Rp6.44 Rp2.47
PR % Payout Ratio %
32.44% 32.66% 36.07% 73.32% 28.44% 29.07% 30.86% 33.03% 35.23% 33.54% 29.04% 23.35% 21.30% 21.03% 9.61%
Sha. Shares
1374.65m 1405.48m 1405.03m 1404.56m 1403.89m 1402.73m 1401.37m 1399.45m 1397.22m 1394.34m 1390.37m 1384.62m 1377.9m 1369.92m 1354.94m
OCF Operating Cash Flow
Rp182.66B Rp227.77B Rp191.64B Rp228.42B Rp65.42B Rp-47558.30M Rp-100310.20M Rp66.55B Rp-32395.90M Rp-13653.80M Rp-71427.70M Rp-43547.60M Rp-63027.60M Rp-16156.10M Rp21.18B
FCF Free Cash Flow
Rp144.05B Rp189.84B Rp160.53B Rp219.22B Rp33.94B Rp-89994.60M Rp-129081.90M Rp32.56B Rp-84930.10M Rp-75980.60M Rp-139311.70M Rp-115924.60M Rp-63820.00M Rp-10410.00M Rp-23111.50M
FCFS Free Cash Flow Per Share
Rp98.93 Rp132.60 Rp114.28 Rp149.80 Rp22.13 Rp-64.64 Rp-92.16 Rp26.30 Rp-54.16 Rp-54.71 Rp-101.65 Rp-88.23 Rp-98.95 Rp-65.48 Rp-17.32