WIPRO Financial Statements

WIPRO Quarterly Results

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Y/e 31 Mar Mar-2022 Mar-2021 Mar-2020 Mar-2018
Growth matrix (%)        
Revenue growth 28.10 1.30 12.20 (1.70)
Op profit growth 12.90 19.70 18.80 (8.20)
EBIT growth 8.81 10.90 19.90 (6.90)
Net profit growth 13.30 11 21.50 (5.80)
Profitability ratios (%)        
OPM 21 23.80 20.20 19.10
EBIT margin 19.80 23.20 21.20 19.90
Net profit margin 15.40 17.40 15.90 14.70
RoCE 20.90 21.60 19.70 16.10
RoNW 5.08 4.90 4.71 4.02
RoA 4.07 4.05 3.68 2.98
Per share ratios ()        
EPS 22.30 19.80 17.10 17.70
Dividend per share 6 1 1 1
Cash EPS 16.70 14.70 13.40 13
Book value per share 119 100 96.80 106
Valuation ratios        
P/E 26.50 20.90 11.50 11.90
P/CEPS 35.50 28.30 14.70 16.20
P/B 4.96 4.13 2.03 1.99
EV/EBIDTA 17.70 12.80 7.14 10.60
Payout (%)        
Dividend payout 26.80 5.06 5.88 5.62
Tax payout (19) (22) (20) (22)
Liquidity ratios        
Debtor days 48.20 58.60 61.30 65.60
Inventory days 0.55 0.86 1.56 2.44
Creditor days (33) (43) (41) (41)
Leverage ratios        
Interest coverage (29) (28) (18) (19)
Net debt / equity 0.11 (0.10) (0.10) 0.20
Net debt / op. profit 0.43 (0.40) (0.40) 0.91
Cost breakup ()        
Material costs (0.80) (1.20) (1.90) (3.50)
Employee costs (57) (54) (53) (50)
Other costs (21) (21) (25) (27)
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Y/e 31 Mar( In .Cr) Mar-2022 Mar-2021 Mar-2020 Mar-2018
Revenue 79,312 61,935 61,138 54,487
yoy growth (%) 28.10 1.30 12.20 (1.70)
Raw materials (637) (727) (1,138) (1,894)
As % of sales 0.80 1.17 1.86 3.48
Employee costs (45,008) (33,237) (32,657) (27,222)
As % of sales 56.70 53.70 53.40 50
Other costs (16,984) (13,199) (15,000) (14,984)
As % of sales 21.40 21.30 24.50 27.50
Operating profit 16,684 14,771 12,342 10,387
OPM 21 23.80 20.20 19.10
Depreciation (3,078) (2,763) (2,086) (2,112)
Interest expense (533) (509) (733) (583)
Other income 2,061 2,391 2,725 2,550
Profit before tax 15,135 13,890 12,249 10,242
Taxes (2,897) (3,035) (2,480) (2,239)
Tax rate (19) (22) (20) (22)
Minorities and other (14) (72) (50) (0.30)
Adj. profit 12,224 10,783 9,719 8,003
Exceptional items -- -- -- --
Net profit 12,230 10,796 9,722 8,003
yoy growth (%) 13.30 11 21.50 (5.80)
NPM 15.40 17.40 15.90 14.70
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Y/e 31 Mar ( In .Cr) Mar-2022 Mar-2021 Mar-2020 Mar-2018
Profit before tax 15,135 13,890 12,249 10,242
Depreciation (3,078) (2,763) (2,086) (2,112)
Tax paid (2,897) (3,035) (2,480) (2,239)
Working capital 8,202 7,188 6,319 (2,889)
Other operating items -- -- -- --
Operating cashflow 17,362 15,280 14,002 3,002
Capital expenditure 36,631 18,090 19,169 10,468
Free cash flow 53,993 33,370 33,171 13,470
Equity raised 77,960 70,685 71,751 71,516
Investments 20,913 14,303 13,267 19,650
Debt financing/disposal 22,512 15,902 15,556 16,189
Dividends paid 3,280 546 571 450
Other items -- -- -- --
Net in cash 178,658 134,806 134,316 121,275
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Y/e 31 Mar ( In .Cr) Mar-2022 Mar-2021 Mar-2020 Mar-2019
Equity capital 1,096 1,096 1,143 1,207
Preference capital -- -- -- --
Reserves 64,307 53,805 54,179 55,216
Net worth 65,403 54,901 55,322 56,423
Minority interest
Debt 17,593 10,451 9,724 9,947
Deferred tax liabilities (net) 1,214 461 2,067 948
Total liabilities 84,262 65,963 67,301 67,581
Fixed assets 39,591 24,894 23,943 19,607
Intangible assets
Investments 26,154 18,775 20,032 22,887
Deferred tax asset (net) 230 166 2,389 1,170
Net working capital 7,903 5,149 6,487 8,065
Inventories 133 106 187 395
Inventory Days 0.61 0.63 1.11 --
Sundry debtors 11,522 9,430 10,447 10,049
Debtor days 53 55.60 62.40 --
Other current assets 19,492 12,382 11,619 13,574
Sundry creditors (6,252) (5,182) (5,840) (6,266)
Creditor days 28.80 30.50 34.90 --
Other current liabilities (16,992) (11,588) (9,926) (9,687)
Cash 10,384 16,979 14,450 15,853
Total assets 84,262 65,963 67,301 67,581
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Particulars ( Rupees In Crores.) Jun-2022 Mar-2022 Dec-2021 Sep-2021 Jun-2021
Gross Sales 21,529 20,860 20,314 19,667 18,252
Excise Duty -- -- -- -- --
Net Sales 21,529 20,860 20,314 19,667 18,252
Other Operating Income -- 0.70 1.40 1.50 215
Other Income 472 502 484 505 579
Total Income 22,001 21,363 20,799 20,174 19,046
Total Expenditure ** 17,671 16,724 16,134 15,500 14,272
PBIDT 4,330 4,639 4,665 4,674 4,774
Interest 205 172 140 146 74.60
PBDT 4,126 4,467 4,525 4,528 4,699
Depreciation 774 735 746 772 826
Minority Interest Before NP -- -- -- -- --
Tax 903 927 774 867 674
Deferred Tax (110) (287) 32.80 (42) (49)
Reported Profit After Tax 2,559 3,093 2,972 2,931 3,248
Minority Interest After NP (4.70) 5.20 3.30 (0.10) 5.40
Net Profit after Minority Interest 2,564 3,087 2,969 2,931 3,243
Extra-ordinary Items -- -- -- -- --
Adjusted Profit After Extra-ordinary item 2,564 3,087 2,969 2,931 3,243
EPS (Unit Curr.) 4.69 5.64 5.43 5.36 5.94
Book Value (Unit Curr.) -- -- -- -- --
Dividend (%) -- 250 50 -- --
Equity 1,097 1,096 1,096 1,096 1,096
Public Shareholding (Number) -- -- -- -- --
Public Shareholding (%) -- -- -- -- --
Pledged/Encumbered - No. of Shares -- -- -- -- --
Pledged/Encumbered - % in Total Promoters Holding -- -- -- -- --
Pledged/Encumbered - % in Total Equity -- -- -- -- --
Non Encumbered - No. of Shares -- -- -- -- --
Non Encumbered - % in Total Promoters Holding -- -- -- -- --
Non Encumbered - % in Total Equity -- -- -- -- --
PBIDTM(%) 20.10 22.20 23 23.80 26.20
PBDTM(%) 19.20 21.40 22.30 23 25.70
PATM(%) 11.90 14.80 14.60 14.90 17.80
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