Wipro Ltd
NSE:WIPRO

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Wipro Ltd
NSE:WIPRO
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Price: 259.91 INR 1.16% Market Closed
Market Cap: 2.7T INR

Balance Sheet

Balance Sheet Decomposition
Wipro Ltd

Current Assets 769.3B
Cash & Short-Term Investments 510.5B
Receivables 232.7B
Other Current Assets 26.1B
Non-Current Assets 541.3B
Long-Term Investments 44.4B
PP&E 107.1B
Intangibles 364.5B
Other Non-Current Assets 25.3B
Current Liabilities 341B
Accounts Payable 21.1B
Accrued Liabilities 87.5B
Short-Term Debt 62B
Other Current Liabilities 170.4B
Non-Current Liabilities 109B
Long-Term Debt 25.1B
Other Non-Current Liabilities 83.9B

Balance Sheet
Wipro Ltd

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Balance Sheet
Currency: INR
Mar-2002 Mar-2003 Mar-2004 Mar-2005 Mar-2006 Mar-2007 Mar-2008 Mar-2009 Mar-2010 Mar-2011 Mar-2012 Mar-2013 Mar-2014 Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024 Mar-2025
Assets
Cash & Cash Equivalents
3 032
4 210
3 243
5 714
8 858
19 822
11 166
22 944
24 155
27 628
41 141
35 683
114 201
158 940
99 046
52 710
44 925
158 529
144 499
169 793
103 836
91 880
96 953
121 974
Cash
3 032
4 210
3 243
5 714
8 858
19 822
11 166
22 944
24 155
27 628
41 141
35 683
45 666
47 198
63 518
27 808
23 300
41 966
34 087
68 842
61 882
60 417
60 648
74 456
Cash Equivalents
0
0
0
0
0
0
0
0
0
0
0
0
68 535
111 742
35 528
24 902
21 625
116 563
110 412
100 951
41 954
31 463
36 305
47 518
Short-Term Investments
0
0
0
0
0
0
28 604
30 423
81 825
89 446
88 899
130 270
76 075
95 569
206 169
293 767
251 365
222 510
188 839
175 092
241 001
309 333
313 422
410 897
Total Receivables
16 601
15 860
17 549
21 081
34 090
46 461
57 736
74 219
75 971
93 804
120 335
121 347
141 008
150 923
163 781
156 424
154 799
166 867
166 437
155 643
249 779
230 478
212 665
217 695
Accounts Receivables
6 515
8 603
11 866
15 518
21 272
29 007
40 453
5 346
67 636
85 776
110 353
108 623
124 726
133 869
147 887
139 941
143 476
138 407
146 826
137 929
198 510
210 252
193 906
198 416
Other Receivables
10 086
7 257
5 683
5 563
12 818
17 454
17 283
68 873
8 335
8 028
9 982
12 724
16 282
17 054
15 894
16 483
11 323
28 460
19 611
17 714
51 269
20 226
18 759
19 279
Inventory
935
1 011
1 292
1 747
2 065
4 150
6 664
7 587
9 120
11 114
12 530
5 238
4 739
7 279
6 897
5 363
5 189
7 198
4 986
4 263
4 513
3 694
4 174
3 017
Other Current Assets
0
0
0
0
0
0
11 827
15 474
10 106
10 322
10 583
14 865
18 663
23 781
26 932
30 634
49 878
16 802
15 090
18 395
21 623
25 711
23 448
24 192
Total Current Assets
20 568
21 081
22 084
28 542
45 013
70 433
115 997
150 647
201 177
232 314
273 488
307 403
354 686
436 492
502 825
538 898
506 156
571 906
519 851
523 186
620 752
661 096
650 662
777 775
PP&E Net
6 452
7 523
9 379
13 229
17 840
27 156
39 819
50 760
53 458
55 094
58 988
50 525
51 449
54 206
64 952
69 794
64 443
70 601
97 868
101 612
109 768
107 361
99 563
106 282
PP&E Gross
6 452
7 523
9 379
13 229
17 840
27 156
39 819
50 760
53 458
55 094
58 988
50 525
51 449
54 206
64 952
69 794
64 443
70 601
97 868
101 612
109 768
107 361
99 563
106 282
Accumulated Depreciation
4 769
6 330
7 593
9 910
12 825
18 538
27 192
35 234
40 494
46 708
56 207
57 096
66 609
72 587
85 327
95 699
84 152
93 178
106 813
118 661
129 138
127 988
120 497
122 030
Intangible Assets
12
11
56
323
315
1 329
1 764
1 803
4 011
3 551
4 229
1 714
1 936
7 931
15 841
15 922
18 113
13 762
16 362
13 085
43 555
43 045
32 748
27 450
Goodwill
13
5 007
5 252
5 663
3 528
9 477
42 209
56 521
53 802
54 818
67 937
54 756
63 422
68 078
101 991
125 796
117 584
116 980
131 012
139 127
246 989
307 970
316 002
325 014
Note Receivable
0
0
0
0
0
0
0
0
3 464
9 239
10 287
10 308
10 192
14 308
16 077
18 680
26 731
28 206
27 679
28 519
19 709
17 527
17 358
10 649
Long-Term Investments
4 681
8 396
19 059
23 505
30 812
33 249
16 022
18 096
2 345
2 993
3 232
0
2 676
3 867
4 907
7 103
8 874
12 834
10 680
12 036
19 883
21 522
22 732
28 011
Other Long-Term Assets
423
467
486
495
594
591
529
684
11 671
13 434
17 840
15 024
17 943
15 151
17 410
17 323
18 739
18 882
13 610
13 869
18 526
17 301
13 394
11 339
Other Assets
13
5 007
5 252
5 663
3 528
9 477
42 209
56 521
53 802
54 818
67 937
54 756
63 422
68 078
101 991
125 796
117 584
116 980
131 012
139 127
246 989
307 970
316 002
325 014
Total Assets
32 147
N/A
42 485
+32%
56 316
+33%
71 757
+27%
98 102
+37%
142 235
+45%
216 340
+52%
278 511
+29%
329 928
+18%
371 443
+13%
436 001
+17%
439 730
+1%
502 304
+14%
600 033
+19%
724 003
+21%
793 516
+10%
760 640
-4%
833 171
+10%
817 062
-2%
831 434
+2%
1 079 182
+30%
1 175 822
+9%
1 152 459
-2%
1 286 520
+12%
Liabilities
Accounts Payable
2 268
2 296
3 153
3 743
4 146
10 202
13 082
19 081
19 133
20 618
23 429
15 434
17 615
18 845
23 447
23 452
24 406
28 527
27 053
23 232
28 683
21 728
23 275
21 985
Accrued Liabilities
0
0
0
0
15 202
16 413
19 323
25 217
19 615
23 434
27 005
36 644
39 668
44 702
50 234
47 946
54 169
69 842
63 432
70 039
85 661
83 211
81 348
82 268
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
39 433
64 546
102 667
116 741
79 598
68 085
54 020
60 363
95 146
88 764
79 166
97 863
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
44 404
33 043
36 448
62 962
1 250
1 660
5 193
6 060
13 393
3 014
25 742
23 180
9 143
8 677
9 221
8 025
Other Current Liabilities
3 608
4 821
14 396
14 301
11 867
15 768
22 015
40 786
22 460
23 523
30 803
29 700
38 490
34 276
37 020
35 344
41 941
44 882
46 146
53 226
89 696
65 373
59 448
76 112
Total Current Liabilities
5 877
7 117
17 550
18 044
31 215
42 383
54 420
85 084
105 612
100 618
117 685
144 740
136 456
164 029
218 561
229 543
213 507
214 350
216 393
230 040
308 329
267 753
252 458
286 253
Long-Term Debt
315
591
1 053
621
758
3 827
44 850
56 892
18 107
19 759
22 510
854
10 909
12 707
17 361
19 611
45 268
28 368
17 478
20 971
71 640
77 225
76 262
86 147
Deferred Income Tax
0
0
0
0
0
0
0
0
380
301
353
846
1 796
3 240
5 108
6 614
3 059
3 417
2 825
4 633
12 141
15 153
17 467
16 443
Minority Interest
28
2
164
265
0
30
116
236
437
691
849
1 171
1 387
1 646
2 212
2 391
2 410
2 637
1 875
1 498
515
589
1 340
2 138
Other Liabilities
0
0
0
0
0
0
0
0
9 280
10 394
9 290
8 307
8 257
10 429
15 589
15 053
13 460
16 283
21 033
21 197
28 399
33 938
55 049
67 230
Total Liabilities
6 220
N/A
7 711
+24%
18 767
+143%
18 930
+1%
31 973
+69%
46 240
+45%
99 386
+115%
142 212
+43%
133 816
-6%
131 763
-2%
150 687
+14%
155 918
+3%
158 805
+2%
192 051
+21%
258 831
+35%
273 212
+6%
277 704
+2%
265 055
-5%
259 604
-2%
278 339
+7%
421 024
+51%
394 658
-6%
402 576
+2%
458 211
+14%
Equity
Common Stock
465
465
466
1 407
2 852
2 918
2 923
2 928
2 936
4 908
4 917
4 926
4 932
4 937
4 941
4 861
9 048
12 068
11 427
10 958
10 964
10 976
10 450
20 944
Retained Earnings
25 460
34 308
37 084
41 893
48 405
67 837
87 908
119 957
168 929
204 610
243 888
260 494
314 952
372 248
425 334
492 406
454 812
535 233
521 982
513 686
617 301
724 647
688 303
750 447
Additional Paid In Capital
0
0
0
9 299
14 378
24 530
25 373
26 739
29 188
30 124
30 457
11 760
12 664
14 031
14 642
469
800
533
1 275
714
1 566
3 689
3 291
2 628
Unrealized Security Profit/Loss
0
0
0
0
0
0
1 097
16 886
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Treasury Stock
0
0
0
0
0
0
0
0
542
542
542
542
542
0
0
0
0
0
0
0
0
0
0
0
Other Equity
2
1
0
227
494
710
1 847
3 561
4 399
580
6 594
7 174
11 493
16 766
20 255
22 568
18 276
20 282
22 774
27 737
28 327
41 852
47 839
54 290
Total Equity
25 927
N/A
34 774
+34%
37 549
+8%
52 826
+41%
66 129
+25%
95 995
+45%
116 954
+22%
136 299
+17%
196 112
+44%
239 680
+22%
285 314
+19%
283 812
-1%
343 499
+21%
407 982
+19%
465 172
+14%
520 304
+12%
482 936
-7%
568 116
+18%
557 458
-2%
553 095
-1%
658 158
+19%
781 164
+19%
749 883
-4%
828 309
+10%
Total Liabilities & Equity
32 147
N/A
42 485
+32%
56 316
+33%
71 757
+27%
98 102
+37%
142 235
+45%
216 340
+52%
278 511
+29%
329 928
+18%
371 443
+13%
436 001
+17%
439 730
+1%
502 304
+14%
600 033
+19%
724 003
+21%
793 516
+10%
760 640
-4%
833 171
+10%
817 062
-2%
831 434
+2%
1 079 182
+30%
1 175 822
+9%
1 152 459
-2%
1 286 520
+12%
Shares Outstanding
Common Shares Outstanding
12 398
12 403
12 414
12 508
12 673
12 969
12 991
13 022
13 051
13 011
13 034
13 056
13 065
13 089
13 098
12 892
12 002
12 013
11 381
10 919
10 935
10 956
10 438
10 460
Preferred Shares Outstanding
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0