Wipro Limited (WIT) Balance Sheet Analysis - Assets, Liabilities & Financial Position - Stocknear

Wipro Limited

NYSE: WIT · Real-Time Price · USD
2.62
0.00 (0.00%)
At close: Oct 03, 2025, 3:59 PM
2.64
0.76%
After-hours: Oct 03, 2025, 07:46 PM EDT

Wipro Balance Sheet Statement

Financials in INR. Fiscal year is April - March.
Fiscal Year Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021 Dec 31, 2020 Sep 30, 2020 Jun 30, 2020
Cash & Equivalents
125.76B 121.97B 125.74B 104.59B 98.3B 96.95B 91.11B 97.9B 83.62B 91.88B 87.31B 73.02B 82.83B 103.84B 107.46B 142.03B 140.62B 169.79B 139.44B 152.42B 159.44B
Short-Term Investments
405.98B 410.4B 436.13B 407.19B 351.92B 311.17B 292.17B 240.09B 351.7B 309.99B 292.13B 274.58B 229.98B 247.44B 236.24B 177.33B 167.74B 176.33B 312.91B 259.82B 215.87B
Long-Term Investments
27.59B 27.79B 31.4B 32.39B 26.76B 31.07B 32.19B 22.39B 21.58B 21.52B 21.62B 22.5B 22.59B 20.31B 18.72B 15.04B 12.08B 12.37B 10.58B 10.18B 10.93B
Other Long-Term Assets
14.19B 19.65B 20.65B 21.26B 26.98B 21.52B 22.33B 28.71B 32.95B 32.73B 36.3B 35.31B 35.58B 35.51B 29.58B 33.73B 35.2B 40.39B 36.34B 36.94B 35.04B
Receivables
118.98B 218.36B 206.93B 215.1B 214.33B 206.64B 209.4B 203.26B 209.7B 215.54B 212.43B 219.12B 223.49B 201.74B 182.3B 171.34B 162.33B 141.37B 138.23B 132.46B 137.29B
Inventory
571M 694M 724M 1.05B 2.72B 4.17B 3.91B 1.28B 1.38B 1.19B 2.02B 2.01B 1.68B 1.33B 1.02B 778M 945M 1.06B 1.21B 1.31B 1.64B
Other Current Assets
73.32B 5.28B 4.71B 4.9B 5.21B 13.23B 11.05B 21.8B 38.62B 24.75B 27.52B 31.14B 31.86B 57B 28.54B 26.8B 22.77B 23.75B 5.92B 23.51B 23.84B
Total Current Assets
795.4B 777.77B 794.72B 756.44B 691.75B 649.74B 624.35B 585.04B 691.11B 661.1B 638.38B 618.6B 585.07B 620.75B 570.75B 532.1B 508.37B 523.19B 620.96B 579.25B 547.11B
Property-Plant & Equipment
79.75B 106.28B 99.65B 100.68B 99.19B 99.56B 98.88B 100.13B 104.91B 107.36B 109.53B 110.56B 110.47B 109.77B 108.69B 107.12B 106.52B 101.61B 98.8B 96.93B 97.86B
Goodwill & Intangibles
354.36B 352.46B 353.79B 347.4B 347.02B 348.75B 345.59B 347.84B 348.13B 351.01B 355.37B 350.92B 345.32B 290.54B 287.26B 271.57B 266.51B 152.21B 149.38B 150.48B 147.1B
Total Long-Term Assets
512.27B 508.75B 507.3B 503.65B 499.06B 502.72B 500.77B 501.29B 509.51B 514.73B 526.87B 523.27B 517.81B 458.43B 446.62B 430.04B 423.06B 308.25B 296.78B 295.97B 294B
Total Assets
1,307.7B 1,286.5B 1,302B 1,260.1B 1,190.8B 1,152.5B 1,125.1B 1,086.3B 1,200.6B 1,175.8B 1,165.2B 1,141.9B 1,102.9B 1,079.2B 1,017.4B 962.14B 931.43B 831.43B 917.74B 875.22B 841.11B
Account Payables
86.01B 21.98B 16.05B 19.77B 22.2B 23.27B 81.57B 78.86B 80.73B 21.73B 89.61B 90.98B 88.48B 28.68B 87.51B 90.78B 88.94B 23.23B 83.46B 82.02B 75.06B
Deferred Revenue
20.74B 21.36B 22.45B 19.11B 19.35B 19.44B 19.14B 17.6B 22.17B 24.7B 28.95B 28.06B 28.36B 30.13B 29.36B 22.71B 22.36B 23.39B 22.71B 20.3B 19.57B
Short-Term Debt
126.77B 97.86B 102.64B 103.16B 82.28B 79.17B 93.62B 94.06B 88.71B 88.82B 96.51B 109.83B 115.33B 95.23B 78.5B 58.91B 60.1B 75.87B 73.26B 74.29B 69.49B
Other Current Liabilities
90.39B 34.46B 35.3B 81.99B 19.3B 24.42B 26.16B 18.69B 187.77B 21.83B 26.43B 29.94B 22.22B 46.34B 33.19B 33.45B 33.19B 12.51B 131.92B 26.47B 26.84B
Total Current Liabilities
331.9B 286.25B 280.88B 280.9B 256.45B 252.46B 257.39B 255.79B 402.67B 267.75B 285.25B 306.39B 300.49B 308.33B 251.1B 231.27B 230.54B 230.04B 349.63B 225.68B 211.91B
Long-Term Debt
n/a 63.95B 64.03B 62.65B 62.32B 62.3B 62.13B 61.97B 61.2B 61.27B 61.72B 60.66B 58.86B 56.46B 55.42B 55.32B 55.39B 7.46B 213M 225M 4.75B
Other Long-Term Liabilities
65.65B 66.2B 65.7B 60.81B 56.86B 55.05B 45.24B 9.28B 8.48B 9.04B 8.09B 8.44B 7.78B 7.81B 8.27B 22.51B 24.41B 21.07B 21.07B 4.82B 4.12B
Total Long-Term Liabilities
105.18B 169.82B 165.33B 159.05B 152.6B 148.78B 136.77B 130.8B 128.29B 126.32B 124.72B 117.6B 115.09B 112.18B 111.9B 108.12B 110.14B 46.8B 39.46B 35.79B 41.39B
Total Liabilities
437.08B 456.07B 446.21B 439.96B 409.05B 401.24B 394.16B 386.6B 530.96B 394.07B 409.96B 423.99B 415.57B 420.51B 363B 339.38B 340.67B 276.84B 389.1B 261.46B 253.29B
Total Debt
158.74B 192.03B 193.56B 192.82B 168.91B 164.65B 179.14B 179.18B 174.69B 174.67B 183.05B 194.59B 197.88B 175.93B 157.62B 138.21B 140.17B 104.51B 93.86B 94.12B 94.06B
Book Value
870.59B 830.45B 855.81B 820.14B 781.76B 751.22B 730.96B 699.73B 669.65B 781.75B 755.28B 717.88B 687.31B 658.67B 654.37B 622.75B 590.76B 554.59B 528.64B 613.75B 587.82B
Book Value Per Share
83.13 79.41 81.84 156.91 149.60 143.85 140.07 133.72 122.14 142.62 137.82 131.09 125.62 120.42 119.67 113.96 108.14 100.65 92.80 107.79 103.25
Common Stock
20.96B 20.94B 20.94B 10.46B 10.46B 10.45B 10.45B 10.44B 10.98B 10.98B 10.97B 10.97B 10.96B 10.96B 10.96B 10.96B 10.96B 10.96B 11.43B 11.43B 11.43B
Retained Earnings
750.67B 716.48B 733.63B 693.69B 661.5B 630.94B 606.95B 577.49B 545.7B 660.96B 635.27B 603B 576.09B 551.25B 555.79B 526.65B 498B 466.69B 424.27B 517.22B 494.66B
Comprehensive Income
92.44B 27.78B 31.91B 41.5B 102.63B 105.21B 67.3B 44.94B 45.89B 46.8B 47.01B 48.4B 47.99B 47.06B 44.17B 43.24B 42.3B 41.15B 57.22B 51.44B 49.23B
Shareholders Equity
868.9B 828.31B 853.85B 818.34B 780.09B 749.88B 687.54B 698.91B 669.03B 781.16B 754.87B 717.56B 686.89B 658.16B 653.92B 621.66B 589.67B 553.1B 527.15B 612.55B 586.75B
Total Investments
433.56B 438.18B 467.53B 439.58B 374.57B 342.24B 324.36B 268.06B 378.81B 336.39B 322.64B 305.46B 257.61B 270.57B 259.65B 200.2B 189.61B 188.69B 323.49B 270B 226.8B