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Wipro is engaged in a leading global information technology (IT), consulting and business process services (BPS) company. Below is the details of WIPRO Wipro Ltd Quarterly reports are issued by companies every three months. Most companies have a financial year-end of Mar. 31 and quarters that end on June 30, Sept. 30, Dec. 31 and March 31. Standalone Figures in The profit and loss (P&L) statement is a financial statement that summarizes the revenues, costs and expenses incurred during a specified period, usually a fiscal quarter or year. The P&L statement is synonymous with the income statement. These records provide information about a company's ability or inability to generate profit" by increasing revenue, reducing costs or both. Some refer to the P&L statement as a statement of profit and loss, income statement, statement of operations, statement of financial results or income, earnings statement or expense statement. Standalone Figures in A balance sheet is a financial statement that reports a company's assets, liabilities and shareholders' equity at a specific point in time, and provides a basis for computing rates of return and evaluating its capital structure. It is a financial statement that provides a snapshot of what a company owns and owes, as well as the amount invested by shareholders. It is used alongside other important financial statements such as the income statement and statement of cash flows in conducting fundamental analysis or calculating financial ratios. Standalone Figures in Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business. At the most fundamental level, a company’s ability to create value for shareholders is determined by its ability to generate positive cash flows, or more specifically, maximize long-term free cash flow. Standalone Figures in Wipro Ltd
Stock/Share Code - WIPRO
Market Cap ₹155,034 Cr. Current Price ₹361.5 as on 23 Mar 23 52 Week High / Low Price ₹290.8 / ₹159.4 Face Value ₹2 Stock P/E 17.50 Book Value ₹81.29 Dividend Yield 0.37 % ROCE 21.65 % ROE 18.11 % Sales Growth (3yrs) 3.06 % Sector IT - Software Industry Computers - Software - Large Listed on BSE AND NSE Company Website Company Website Wipro Ltd Price Chart
Wipro Ltd Peer Comparison in IT - Software
S.No. Name CMP Rs. P/E Mar Cap Rs.Cr. Div Yld % NP Qtr Rs.Cr. Qtr Profit Var % Qtr Sales Var % Sales Qtr Rs.Cr. ROCE % 1. 27.13 ₹847,007.04 Cr. 1.46 ₹7,008 Cr. -13.81 0.39 38322.00 47.76 2. Infosys 23.27 ₹395,526.54 Cr. 1.88 ₹4,233 Cr. 11.45 8.54 23665.00 32.58 3. 16.03 ₹188,436.9 Cr. 0.72 ₹2,931 Cr. 31.43 8.61 17842.00 27.75 4. Wipro 17.50 ₹155,033.81 Cr. 0.37 ₹2,192.6 Cr. 8.86 6.28 12819.00 21.65 5. Tech Mahindra 17.70 ₹71,602.85 Cr. 2.02 ₹972.3 Cr. 1.36 5.24 9106.30 22.35 6. L & T Infotech 27.12 ₹42,869.08 Cr. 1.14 ₹416.6 Cr. 17.09 18.68 2949.20 40.38 7. Mindtree 25.34 ₹19,032.2 Cr. 1.12 ₹213 Cr. 129.77 4.07 1908.80 27.28
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Quarterly Results
Rs. Crores
Sep 2017 Dec 2017 Mar 2018 Jun 2018 Sep 2018 Dec 2018 Mar 2019 Jun 2019 Sep 2019 Dec 2019 Mar 2020 Jun 2020 Sales - 11,050 11,073 11,434 11,568 12,002 12,139 12,396 12,061 12,523 12,696 13,127 12,819 YOY Sales Growth % -3.52% -2.69% -1.67% 3.72% 8.61% 9.63% 8.41% 4.27% 4.34% 4.59% 5.90% 6.28% Expenses - 8,641 8,954 9,330 9,375 9,950 9,489 10,529 9,797 9,947 9,956 10,500 9,598 Material Cost % 2% 3% 3% 3% 2% 2% 2% 2% 2% 2% 2% 1% Employee Cost % 49% 49% 49% 50% 49% 49% 50% 52% 52% 52% 52% 50% Operating Profit 2,409 2,118 2,104 2,192 2,053 2,649 1,867 2,264 2,576 2,740 2,627 3,221 OPM % 22% 19% 18% 19% 17% 22% 15% 19% 21% 22% 20% 25% Other Income 719 642 480 590 452 784 742 758 634 521 564 0 Interest 109 49 124 117 98 106 205 104 178 135 119 100 Depreciation 259 262 242 243 241 228 222 275 264 294 309 322 Profit before tax 2,760 2,448 2,218 2,422 2,166 3,099 2,183 2,644 2,768 2,833 2,763 2,799 Tax % 23% 26% 21% 21% 26% 19% 28% 24% 19% 20% 22% 22% Net Profit 2,134 1,804 1,757 1,922 1,607 2,518 1,566 2,014 2,247 2,261 2,158 2,193 EPS in Rs 3.30 2.82 2.93 3.20 2.68 4.19 2.61 3.35 3.79 3.95 3.79 3.85 Notes Notes Notes Notes Notes Notes Notes Notes Notes Notes Notes Notes Profit & Loss
Rs. Crores
Mar 2009 Mar 2010 Mar 2011 Mar 2012 Mar 2013 Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 TTM Sales - 21,507 22,922 26,300 31,683 33,226 38,757 41,210 44,681 46,048 44,710 48,124 50,407 51,165 Sales Growth % 22.95% 6.58% 14.74% 20.47% 4.87% 16.65% 6.33% 8.42% 3.06% -2.91% 7.64% 4.74% Expenses - 17,767 17,420 20,540 25,640 26,293 29,649 32,010 35,372 36,491 35,756 39,363 40,200 40,001 Material Cost % 16% 16% 14% 15% 8% 6% 6% 6% 5% 3% 2% 2% Manufacturing Cost % 9% 12% 11% 13% 2% 13% 14% 0% 16% 18% 19% 17% Employee Cost % 43% 40% 42% 42% 48% 47% 48% 48% 47% 49% 49% 52% Other Cost % 14% 8% 11% 11% 21% 9% 10% 26% 10% 10% 12% 8% Operating Profit 3,740 5,502 5,761 6,043 6,934 9,108 9,199 9,309 9,557 8,954 8,761 10,207 11,164 OPM % 17% 24% 22% 19% 21% 24% 22% 21% 21% 20% 18% 20% 22% Other Income 538 867 681 1,227 1,325 1,611 2,499 2,711 2,646 2,480 2,569 2,477 1,719 Interest 197 100 136 606 352 375 363 550 468 384 525 535 532 Depreciation 534 580 600 746 701 737 778 875 1,048 1,015 934 1,141 1,188 Profit before tax 3,548 5,689 5,706 5,919 7,205 9,608 10,557 10,594 10,687 10,034 9,870 11,008 11,163 Tax % 16% 14% 15% 21% 22% 23% 22% 23% 24% 23% 23% 21% Net Profit 2,974 4,898 4,844 4,685 5,650 7,387 8,193 8,200 8,162 7,723 7,614 8,681 8,859 EPS in Rs 4.41 7.31 7.07 6.78 8.60 10.73 11.55 12.45 12.59 12.80 12.62 15.19 15.38 Dividend Payout % 20% 18% 30% 31% 31% 27% 36% 18% 6% 6% 8% 7% Compounded Sales Growth
Compounded Profit Growth
Return on Equity
Balance Sheet
Rs. Crores
Mar 2009 Mar 2010 Mar 2011 Mar 2012 Mar 2013 Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Share Capital - 293 294 491 492 493 493 494 494 486 905 1,207 1,143 Equity Capital 293 294 491 492 493 493 494 494 486 905 1,207 1,143 Reserves 12,220 17,397 20,829 23,861 23,737 28,863 34,128 40,732 46,220 41,358 48,185 45,311 Borrowings 5,014 5,530 4,744 5,287 6,095 4,583 6,103 6,813 6,310 5,803 5,128 5,646 Other Liabilities - 7,366 7,107 8,056 8,951 10,329 11,660 12,628 10,814 10,002 10,560 12,468 13,207 Trade Payables 1,525 1,496 3,610 3,892 4,923 5,357 5,729 4,362 3,819 4,176 4,766 4,543 Advance from Customers 61 90 80 74 215 292 199 188 184 122 108 132 Other liability items 5,779 5,521 4,366 4,985 5,192 6,012 6,700 6,264 5,999 6,261 7,595 8,533 Total Liabilities 24,893 30,327 34,120 38,590 40,654 45,599 53,352 58,853 63,018 58,625 66,988 65,306 Fixed Assets - 3,180 3,656 4,237 4,650 3,909 3,975 4,038 4,068 4,362 4,367 4,401 6,639 Gross Block 5,743 6,761 7,779 8,808 8,319 9,043 9,454 10,176 11,051 11,361 11,922 14,764 Accumulated Depreciation 2,564 3,105 3,542 4,158 4,409 5,068 5,415 6,108 6,689 6,994 7,521 8,125 CWIP 1,312 991 396 301 379 275 361 325 694 1,291 2,113 1,874 Investments 6,884 8,966 10,813 10,335 10,904 11,036 10,768 26,201 35,146 30,683 30,249 26,698 Other Assets - 13,517 16,714 18,673 23,304 25,461 30,313 38,184 28,260 22,815 22,285 30,225 30,095 Inventories 460 607 725 785 320 228 479 526 356 294 340 174 Trade receivables 4,446 5,016 5,781 7,967 8,499 8,551 8,144 8,398 8,130 9,502 9,046 9,257 Cash Equivalents 4,409 5,664 5,203 6,233 7,800 10,555 15,668 8,409 3,517 2,322 10,390 10,444 Loans n Advances 4,236 5,481 5,324 5,027 5,830 7,580 10,999 8,260 9,171 7,574 7,046 8,779 Other asset items -34 -55 1,639 3,292 3,011 3,399 2,894 2,667 1,642 2,592 3,402 1,441 Total Assets 24,893 30,327 34,120 38,590 40,654 45,599 53,352 58,853 63,018 58,625 66,988 65,306 Cash Flows
Rs. Crores
Mar 2009 Mar 2010 Mar 2011 Mar 2012 Mar 2013 Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Cash from Operating Activity - 4,410 4,477 3,711 2,998 6,119 6,589 7,704 6,687 7,371 6,471 10,210 9,068 Profit from operations 3,893 6,093 6,347 6,548 7,064 9,150 9,854 9,848 9,851 9,792 9,879 10,871 Receivables -1,152 -924 -1,468 -2,247 -1,106 -607 285 -911 -0 -1,636 477 -206 Inventory -12 -138 -113 -60 -39 92 -251 -47 170 62 -46 166 Payables 1,302 192 0 0 0 0 0 228 -642 192 1,688 -734 Loans Advances 949 -78 -654 -273 68 -885 -402 0 0 0 0 0 Other WC items 0 0 403 481 1,696 1,126 515 109 350 676 591 -439 Working capital changes 1,088 -949 -1,832 -2,100 620 -274 146 -621 -123 -706 2,710 -1,212 Direct taxes -636 -667 -804 -1,451 -1,565 -2,287 -2,297 -2,540 -2,357 -2,616 -2,379 -590 Exceptional CF items 66 0 0 0 0 0 0 0 0 0 0 0 Cash from Investing Activity - -3,663 -3,126 -1,439 -245 -3,546 254 -1,480 -9,774 -7,984 5,008 -347 3,219 Fixed assets purchased -1,406 -822 -869 -770 -639 -670 -874 -1,058 -1,687 -1,624 -1,869 -1,833 Fixed assets sold 20 30 43 42 22 102 44 70 81 82 102 49 Investments purchased -34,286 -33,793 -46,816 -33,289 -47,757 -46,576 -55,099 -89,706 -81,270 -77,903 -92,440 -117,700 Investments sold 34,169 32,348 45,133 34,061 44,746 47,367 56,111 79,328 73,008 82,976 95,398 120,978 Interest received 0 0 0 0 0 0 0 1,876 1,696 1,387 1,960 2,271 Dividends received 414 366 612 783 721 1,176 1,235 7 31 61 35 110 Invest in subsidiaries -2,198 -610 -158 -453 -269 -593 -342 -321 -100 -456 -3,623 0 Loans to subsidiaries 0 0 0 0 -191 93 0 0 0 0 0 -947 Shares acq cancelled 0 0 0 0 0 0 0 0 0 479 65 92 Acquisition of companies 0 -5 0 -404 -21 0 0 0 0 0 0 0 Inter corporate deposits -375 -580 581 -310 -194 0 -2,570 0 0 0 0 0 Other investing items -2 -62 35 95 36 -644 15 31 257 5 23 199 Cash from Financing Activity - -71 -96 -2,733 -1,724 -1,006 -4,089 -1,836 -3,490 -4,368 -12,918 -1,395 -12,233 Proceeds from shares 0 0 0 0 1 0 0 0 0 2 0 0 Proceeds from borrowings 8,102 5,962 7,137 6,930 0 0 0 0 0 0 5,654 10,251 Repayment of borrowings -7,325 -5,269 -8,252 -6,867 0 0 0 0 0 0 -6,068 -10,683 Interest paid fin -173 -105 -62 -74 -79 -67 -25 -89 -89 -127 -436 -256 Dividends paid -683 -686 -1,558 -1,713 -1,716 -2,307 -2,924 -3,567 -878 -544 -545 -689 Financial liabilities 0 0 0 0 0 0 0 0 0 0 0 -326 Share application money 2 0 0 0 0 0 0 0 0 0 0 0 Application money refund 0 0 -2 0 0 0 0 0 0 0 0 0 Other financing items 6 1 4 1 789 -1,714 1,113 166 -3,401 -12,249 0 -10,531 Net Cash Flow 677 1,255 -461 1,030 1,568 2,754 4,388 -6,577 -4,981 -1,440 8,468 54
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Mar 2009 Mar 2010 Mar 2011 Mar 2012 Mar 2013 Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 ROCE % 22% 28% 24% 23% 24% 31% 28% 25% 22% 21% 20% 22% Debtor Days 75 80 80 92 93 81 72 69 64 78 69 67 Inventory Turnover 7.85 7.05 5.93 6.54 5.27 9.98 7.88 5.18 5.33 4.70 3.42 3.73 Announcements & News
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