Wipro share fundamental strong or Not | Wipro share all the data and details

Peer comparison

S.No.NameCMP Rs.P/EMar Cap Rs.Cr.Div Yld %NP Qtr Rs.Cr.Qtr Profit Var %Sales Qtr Rs.Cr.Qtr Sales Var %ROCE %
1.4287.3532.591551074.571.2812105.008.7262613.005.4464.28
2.1810.8528.21751912.022.106374.007.1239315.003.6439.99
3.1577.1026.06428025.813.304259.0020.5628057.006.7029.84
4.505.8023.66264533.660.203036.604.6421963.80-3.8016.93
5.5718.3537.12169437.441.141135.10-1.549142.605.0631.17
6.1495.5562.07146247.202.67664.20-40.8612871.30-6.1711.88
7.4759.0062.6473359.610.55306.4233.942737.1717.9229.17
Median: 9 Co.2925.7535.81169437.441.281135.14.6412871.35.0629.84

Detailed Comparison with:

Quarterly Result

Jun 2021Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
Sales +18,46719,66920,31520,86121,52922,54023,22923,19022,83122,51622,20522,20821,964
Expenses +14,27215,50016,13416,72417,67118,60818,69018,67118,62718,54618,00717,82817,614
Operating Profit4,1954,1694,1814,1363,8583,9324,5394,5194,2043,9704,1984,3814,350
OPM %23%21%21%20%18%17%20%19%18%18%19%20%20%
Other Income +579505484502472512649632640740598653730
Interest75146140172204227290286309303312331329
Depreciation826772746734774797923847738897932840729
Profit before tax3,8733,7563,7793,7323,3523,4203,9754,0183,7983,5093,5523,8624,022
Tax %16%22%21%17%24%23%23%23%24%24%24%26%24%
Net Profit +3,2482,9312,9723,0922,5592,6493,0653,0942,8862,6672,7012,8583,037
EPS in Rs5.925.355.425.634.684.855.565.605.235.075.165.425.74
Raw PDF

Profit & Loss

Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024TTM
Sales +37,43043,42446,95151,24455,44854,48759,01961,13861,93579,31290,48889,76088,893
Expenses +29,77333,78836,65240,44844,12844,10047,40648,79547,16462,62873,64973,00871,995
Operating Profit7,6579,63510,29910,79611,32110,38711,61312,34214,77116,68416,83916,75216,898
OPM %20%22%22%21%20%19%20%20%24%21%19%19%19%
Other Income +1,4401,9222,4502,7522,6232,5502,6142,7282,4042,0672,2752,6312,720
Interest2893833505585945837387335095321,0081,2551,275
Depreciation9401,0601,1751,4962,3102,1121,9472,0862,7633,0783,3403,4073,398
Profit before tax7,86910,11411,22411,49411,03910,24211,54212,25213,90315,14114,76614,72114,945
Tax %21%21%22%22%23%22%22%20%22%19%23%25%
Net Profit +6,1827,9918,7148,9578,5188,0039,0189,77210,86812,24311,36611,11211,263
EPS in Rs9.3612.0813.1513.5213.1013.2714.9217.0219.7022.3120.6821.1421.39
Dividend Payout %28%25%34%17%6%6%7%6%5%27%5%5%
Compounded Sales Growth
10 Years:8%
5 Years:9%
3 Years:13%
TTM:-3%
Compounded Profit Growth
10 Years:3%
5 Years:4%
3 Years:0%
TTM:-4%
Stock Price CAGR
10 Years:9%
5 Years:14%
3 Years:-5%
1 Year:25%
Return on Equity
10 Years:18%
5 Years:17%
3 Years:17%
Last Year:14%

Balance Sheet

Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Equity Capital4924934944944869051,2071,1431,0961,0961,0981,045
Reserves26,07231,63636,59845,65151,18447,02255,21654,17953,80564,30776,57073,488
Borrowings +6,3815,1597,89112,52214,24113,9019,9479,72410,45117,59317,46716,465
Other Liabilities +10,67512,24513,36712,92412,76113,56316,21715,95417,21324,28021,78923,611
Total Liabilities43,62149,53358,35071,59078,67275,39182,58681,00082,566107,276116,924114,609
Fixed Assets +9,99610,64910,83717,27919,88618,12717,46522,06223,04037,99044,75743,628
CWIP4073693953817381,3782,1421,8811,8531,602617723
Investments6,7656,1465,53220,91529,91325,79722,88720,03218,77526,15433,07333,384
Other Assets +26,45432,36841,58633,01628,13530,09040,09337,02438,89841,53138,47736,873
Total Assets43,62149,53358,35071,59078,67275,39182,58681,00082,566107,276116,924114,609

Cash Flows

Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Cash from Operating Activity +6,3946,7907,8407,8879,2778,42311,63210,06414,75511,08013,06017,622
Cash from Investing Activity +-4,536-284-2,537-13,761-11,7703,5955,0653,593685-22,321-8,1691,144
Cash from Financing Activity +-1,140-3,570-830-159-2,275-12,998-4,937-15,100-12,8844,659-6,088-18,257
Net Cash Flow7172,9364,474-6,032-4,767-97911,760-1,4422,556-6,583-1,197509

Ratios

Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Debtor Days757271716268626256535147
Inventory Days39285666
Days Payable572639671597
Cash Conversion Cycle-459-539-544-4616268626256535147
Working Capital Days24486560545729189333632
ROCE %24%29%27%23%19%17%19%20%22%21%18%17%

Shareholding Pattern

Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
Promoters +73.02%73.01%73.00%73.00%72.96%72.94%72.92%72.91%72.93%72.90%72.89%72.82%
FIIs +9.69%9.34%8.12%6.95%6.58%6.30%6.38%6.32%6.47%6.70%6.96%7.12%
DIIs +2.05%2.77%3.24%3.43%7.96%7.84%8.01%7.56%8.03%8.13%8.28%8.25%
Public +14.92%14.59%15.37%16.36%12.29%12.73%12.51%13.05%12.43%12.16%11.76%11.68%
Others +0.32%0.29%0.27%0.25%0.21%0.19%0.18%0.16%0.14%0.13%0.11%0.11%
No. of Shareholders11,40,89313,18,77519,34,98624,01,89426,70,78527,65,51326,91,32927,79,43625,93,08725,21,36123,97,64823,69,089

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