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Wipro Ltd.
(India) Source:
Statement type Annual, Cons. Annual, Cons.
Period end date 2020-03-31 2019-03-31 Units Ten Millions INR Ten Millions INR
Income Statement 2020 2019
Total operating revenue 61,138 59,019 Net sales revenue 61,138 59,019 Administrative expenses -1,099 -1,624 Changes in inventories of finished goods and work in progress -202.20 67.30 Raw materials and consumables used 0.00 0.00 Employee benefit expense -32,657 -29,977 Wages and salaries -32,657 -29,977 Other costs by nature -936.00 -1,407 Depreciation, amortization and impairment charges -2,086 -1,947 Net other operating result -13,901 -14,461 Other operating expenses -13,901 -14,461 Operating profit (EBIT) 10,257 9,670 EBITDA 12,342 11,617 Financial result -732.80 -737.50 Finance Expenses -732.80 -737.50 Interest expense -732.80 -737.50 Net - other non-operating result 2,725 2,614 Profit before income tax 12,249 11,547 Income tax -2,480 -2,524 Profit after income tax 9,769 9,022 Other Extraordinary Items -2.90 4.30 Net Profit (Loss) for the Period 9,722 9,004
Balance Sheet 2020 2019
Total assets 81,279 82,925 Non-current assets 44,576 43,054 Property, plant and equipment 6,062 4,767 Other property, plant and equipment 6,062 4,767 Construction in progress 1,881 2,142 Intangible assets and goodwill 16,000 12,698 Long-term financial assets 20,032 22,887 Other non-current financial assets 20,032 22,887 Deferred assets 600.50 560.40 Current assets 36,703 39,871 Inventories 186.50 395.10 Other inventories 186.50 395.10 Trade and other receivables 10,447 10,049 Current trade receivables 10,447 10,049 Prepayments, accrued income and other deferred current assets 0.00 0.00 Cash and Cash Equivalents 14,450 15,853 Cash at banks and on hand 14,450 15,853 Other current assets 11,619 13,574 Total equity and liabilities 81,279 82,925 Total equity 55,509 56,686 Equity attributable to owners of the parent 55,322 56,423 Issued capital 1,143 1,207 Ordinary shares 1,143 1,207 Other reserves 54,179 55,216 Minority interest 187.50 263.70 Total liabilities 25,770 26,239 Non-current liabilities 763.30 3,175 Non-current loans and borrowings 484.00 2,837 Deferred revenue, accrued expenses and other deferred non-current liabilities279.30 338.40 Current liabilities 25,006 23,063 Current loans and borrowings 5,402 6,809 Trade and other payables 5,840 6,266 Provisions for other liabilities and charges 1,713 1,314 Other current liabilities 12,051 8,675
Cash Flow Statement 2020 2019
Net cash flow from (used in) operating activities 10,064 11,632 Cash generated from operations 10,064 11,632 Adjustments for: Other adjustments 292.50 2,614 Changes in: Other changes 9,772 9,018 Net cash flow from (used in) investing activities 3,401 5,013 Other investing activity cash flows 3,401 5,013 Net cash flow from (used in) financing activities -15,100 -4,937 Other financing activity cash flow -15,100 -4,937 Net increase (decrease) in cash and cash equivalents -1,634 11,707 Cash at the beginning of the period 15,853 4,093 Exchange gain (loss) on cash and cash equivalents 192.20 52.60 Cash at the end of the period 14,410 15,853
Statement type Annual, Cons. Annual, Cons.
Begin date of reporting period 2019-04-01 2018-04-01 Period end date 2020-03-31 2019-03-31 Original Units as Reported INR Tens of Millions INR Tens of Millions Audited Audited Audited Source Dion Dion
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2017-04-01 2016-04-01 2015-04-01 2014-04-01 2018-03-31 2017-03-31 2016-03-31 2015-03-31 INR Tens of Millions INR Tens of Millions INR Tens of Millions INR Tens of Millions Audited Audited Audited Audited Dion Dion Dion Dion