Larsen & Toubro
3685,50 ₹
En resumen
- Crecimiento de los ingresos
- +12,24 %
- Ej. a mar 2026 frente a Ej. a mar 2025
- Crecimiento del beneficio neto
- +6,96 %
- Ej. a mar 2026 frente a Ej. a mar 2025
- Margen neto
- 5,5 %
- Ej. a mar 2025: 5,8 %
Datos financieros
Importes en millones de INR; valores por acción en INR; acciones en millones.
| Partida | Ej. a mar 2026 | Ej. a mar 2025 | Ej. a mar 2024 | Ej. a mar 2023 | Ej. a mar 2022 | Ej. a mar 2021 | Ej. a mar 2020 | Ej. a mar 2019 | Ej. a mar 2018 | Ej. a mar 2017 |
|---|---|---|---|---|---|---|---|---|---|---|
| Activo total | 4.525.499 | 3.795.241 | 3.401.360 | 3.303.523 | 3.200.672 | 3.112.737 | 3.081.401 | 2.783.474 | 2.438.775 | 2.121.816 |
| Activo corriente | 3.183.113 | 2.453.417 | 2.185.886 | 2.222.043 | 2.082.031 | 1.949.668 | 1.826.899 | 1.667.914 | 1.416.305 | 1.218.413 |
| Efectivo y equivalentes | 153.912 | 121.870 | 119.585 | 169.267 | 137.702 | 133.735 | 113.246 | 65.095 | 68.343 | 35.269 |
| Inversiones a corto plazo | 612.234 | 484.070 | 366.738 | 375.106 | 322.618 | 316.277 | 145.764 | 147.919 | 103.643 | 158.578 |
| Cuentas por cobrar | 1.390.293 | 1.192.516 | 1.137.303 | 1.039.781 | 1.006.982 | 910.244 | 934.471 | 840.714 | 765.682 | 633.812 |
| Existencias | 95.309 | 76.706 | 66.202 | 68.288 | 59.433 | 58.205 | 57.467 | 64.139 | 48.478 | 41.397 |
| Inmovilizado material neto | 224.731 | 193.884 | 184.841 | 164.232 | 137.378 | 137.962 | 155.552 | 133.731 | 127.851 | 131.777 |
| Fondo de comercio | 84.815 | 83.485 | 78.009 | 77.987 | 76.852 | 80.670 | 80.114 | 18.269 | 15.618 | 13.987 |
| Otros activos intangibles | 21.028 | 172.483 | 175.317 | 181.241 | 188.077 | 193.084 | 196.813 | 155.100 | 132.160 | 116.940 |
| Inversiones a largo plazo | 110.446 | 116.701 | 111.687 | 102.742 | 104.276 | 88.435 | 73.488 | 71.620 | 58.471 | 54.540 |
| Pasivo corriente | 2.544.975 | 2.019.709 | 1.771.095 | 1.620.660 | 1.594.406 | 1.374.080 | 1.447.292 | 1.338.023 | 1.092.744 | 895.251 |
| Proveedores | 694.556 | 524.593 | 532.929 | 497.841 | 513.656 | 457.452 | 436.439 | 429.948 | 377.974 | 302.949 |
| Deuda a largo plazo | 637.386 | 575.033 | 565.070 | 612.177 | 616.183 | 821.200 | 823.313 | 741.207 | 729.146 | 673.403 |
| Deuda total | 907.181 | 965.476 | 884.880 | 897.541 | 950.311 | 1.068.633 | 1.081.527 | 963.313 | 881.922 | 774.195 |
| Pasivo total | 3.240.194 | 2.641.204 | 2.375.863 | 2.267.851 | 2.246.935 | 2.233.537 | 2.318.961 | 2.091.465 | 1.837.725 | 1.584.015 |
| Patrimonio neto (incl. minoritarios) | 1.285.305 | 1.154.037 | 1.025.497 | 1.035.672 | 953.737 | 879.201 | 762.441 | 692.009 | 601.049 | 537.801 |
| Reservas | 1.061.570 | 947.394 | 837.213 | 782.955 | 708.504 | 646.392 | 568.892 | 520.280 | 444.302 | 400.776 |
| Intereses minoritarios | 192.407 | 177.481 | 161.904 | 142.413 | 129.661 | 120.515 | 95.208 | 68.261 | 52.014 | 35.636 |
