Wipro Financial Ratios for Analysis 2009-2024 | WIT

Fifteen years of historical annual and quarterly financial ratios and margins for Wipro (WIT).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024202320222021202020192018201720162015201420132012201120102009
2.582.472.012.272.402.672.372.352.312.662.602.122.322.311.910.27
0.080.070.080.010.010.050.090.040.040.030.030.000.070.080.080.04
0.190.190.230.150.140.170.280.270.270.190.150.220.210.220.321.75
29.6528.6829.7231.6828.5429.5029.2328.8630.3831.5831.9630.3429.2531.4731.49-
15.1615.4317.7419.8717.3217.0515.4817.0618.9120.3320.5918.7016.3218.4219.19-
15.1615.4317.7419.8717.3217.0515.4817.0618.9120.3320.5918.7016.3218.4219.19-
18.9719.1221.6424.3420.7420.3819.3521.2621.8423.0623.1421.6019.0521.0622.07-
16.4016.3219.1322.4520.0619.6818.8120.0522.3923.7923.2721.0118.7420.3020.36-
12.3012.5415.4417.4315.9115.3514.7015.4217.3618.4317.9617.7415.0517.1716.94-
0.780.770.730.750.750.700.720.690.710.780.860.850.850.840.82-
68956140738623110511410166.4866.1013079.6824.6221.9223.55-
7.777.166.866.575.845.835.405.805.015.135.094.883.373.624.02-
47.0150.9553.1855.5562.5062.6167.6562.9272.9171.1571.7674.7510810190.80-
14.7914.5418.5719.5917.4515.7816.5016.2919.0921.2722.7421.6619.4722.0323.47172
27.6026.3933.2227.0023.7020.4722.9122.3525.5126.1228.0527.0026.0429.1133.24-46.02
9.649.6711.3313.0711.9510.8110.5310.7312.3414.5215.6114.0412.7814.2613.9835.29
13.6613.4817.1019.3317.3015.0315.0915.7018.4120.6322.0421.5918.0520.3621.49166
1.731.731.581.381.301.371.241.241.071.000.870.80----
0.400.290.270.360.230.280.200.220.180.190.170.200.110.120.150.10
0.380.260.220.310.180.230.150.170.150.160.150.170.070.090.120.06

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.692.702.291.722.472.242.021.952.012.272.302.202.271.782.572.582.402.452.402.712.672.792.512.532.372.162.532.412.352.172.392.362.312.732.572.682.662.682.722.602.592.292.342.122.152.061.952.322.212.202.252.312.332.152.101.911.791.771.641.46
0.070.070.080.080.070.080.080.080.080.080.080.090.010.000.000.010.010.040.040.040.050.080.090.090.090.060.050.060.040.040.040.030.040.030.040.030.030.030.030.030.030.030.030.000.000.000.000.070.080.080.070.080.100.100.090.080.100.110.100.12
0.200.180.220.220.190.210.240.250.230.200.180.200.150.140.120.130.140.170.180.170.170.190.220.230.280.280.260.270.270.310.260.260.270.210.230.190.190.150.130.150.140.180.180.220.190.190.210.210.210.220.240.220.250.260.280.320.300.260.290.38
30.4930.2029.3029.3729.9729.7027.3327.7228.9629.7330.0530.1332.3933.4130.2730.4526.9729.1128.5829.1328.8130.9630.0228.2128.9529.7529.4728.7328.0929.4328.9529.1029.6629.8031.4130.6831.0930.7932.6935.2732.2531.0930.9514.8731.0131.2330.4926.9129.4527.8329.3431.9331.5631.4832.3436.4031.1731.0332.0921.06
16.6716.3914.8015.1016.2416.2014.4414.8316.7817.4717.7219.0621.0121.5818.5918.0316.6117.6217.7017.1918.0119.0414.2116.6514.1114.4317.1716.2217.7416.9216.6916.7818.1218.5819.3719.6024.5818.6020.3319.6720.2718.7118.1761.2417.0817.3016.2226.4416.2615.5216.8014.1118.2718.6419.506.9618.9318.8320.0443.20
16.6716.3914.8015.1016.2416.2014.4414.8316.7817.4717.7219.0621.0121.5818.5918.0316.6117.6217.7017.1918.0119.0414.2116.6514.1114.4317.1716.2217.7416.9216.6916.7818.1218.5819.3719.6024.5818.6020.3319.6720.2718.7118.1761.2417.0817.3016.2226.4416.2615.5216.8014.1118.2718.6419.506.9618.9318.8320.0443.20
------------------------------------------------------------
19.1918.2915.5716.6117.3517.1315.2015.6017.8718.5619.0421.1723.0624.5621.2220.7218.4219.8820.7420.8421.0621.5316.6619.1516.4418.0321.1119.6820.9920.1019.3619.6121.3422.3423.0922.8323.2423.2624.3826.4223.3523.3021.1015.6620.2919.9919.0417.0018.7217.5919.4220.6220.2719.6121.6924.0320.7420.2219.3711.34
14.3813.6611.7312.5413.2213.1811.8111.9714.7714.6114.8617.7118.3118.9216.3015.9614.3015.8716.9116.2116.3316.6812.9715.1813.1414.1116.3415.2216.1715.3415.0215.0416.3317.4017.8517.8918.7817.8619.0419.1017.8617.9516.7017.9915.6815.1215.1615.0914.7514.4315.7016.6416.8416.7418.4617.4017.3917.0915.9313.83
0.180.180.210.190.190.200.200.200.180.200.200.200.200.170.170.180.150.190.190.170.190.190.180.180.180.180.160.160.200.170.190.180.180.190.190.190.200.220.210.230.230.230.210.220.220.230.220.230.230.220.210.220.220.220.210.210.220.240.220.23
14216712811613682.2580.5293.7610213718613210384.0679.6162.4148.2053.0040.2425.2228.2326.6825.0526.1828.1734.9827.3628.3628.6817.1318.8114.8817.0114.8315.4118.0116.5029.0231.2036.2426.8022.3819.1411.836.686.046.135.646.266.225.266.156.136.365.437.016.057.065.663.62
1.981.932.081.991.761.861.801.691.701.661.811.751.781.711.691.601.191.541.561.541.561.511.371.431.331.371.341.391.641.281.361.331.271.291.301.331.330.890.871.360.910.910.861.250.950.930.890.890.850.830.880.960.940.970.981.031.041.111.151.09
45.4646.7443.2445.1351.0648.4050.0453.2352.8754.2149.6551.4550.5752.7653.3056.1775.6058.5357.6358.5957.8659.7665.8162.8567.7065.8766.9764.6955.0270.5766.2567.5770.9869.9469.4667.5467.8310110365.9598.4699.3110471.8294.7397.1210110110610810293.3495.4193.0491.6987.2786.1581.4078.0982.59
3.933.883.814.303.804.063.693.744.414.544.695.495.545.664.054.093.224.554.974.034.504.633.604.163.624.083.883.834.814.144.274.184.574.895.155.105.575.565.786.456.086.285.385.535.195.175.215.185.305.055.245.735.726.046.326.186.657.056.236.02
6.826.987.588.966.897.677.237.517.898.098.3210.007.637.895.375.454.376.116.725.155.836.205.005.765.035.905.285.196.605.895.615.516.105.986.386.216.847.027.047.967.547.956.766.896.826.857.046.927.286.927.057.577.658.298.808.759.9410.7710.2810.85
2.562.552.462.402.522.632.322.332.692.923.043.483.693.262.842.862.213.033.282.743.083.152.352.742.312.602.602.503.172.632.802.732.953.313.433.483.803.874.034.434.174.093.553.583.473.423.383.403.383.223.363.713.653.753.873.683.844.133.523.12
3.653.593.503.943.523.763.413.444.064.184.315.025.465.664.054.053.194.374.763.884.284.253.283.803.313.843.683.614.643.984.114.034.414.724.974.955.405.405.616.265.886.075.215.515.185.165.204.804.874.634.855.295.155.415.735.656.026.285.585.32
1.871.791.611.491.731.661.611.591.581.601.531.391.381.271.461.361.301.681.281.431.371.321.201.221.241.231.331.301.241.151.131.111.071.061.01-------------------------
0.190.090.170.080.290.210.110.000.270.210.140.080.360.310.210.100.230.210.130.070.280.200.110.070.200.190.110.070.220.150.090.030.180.140.090.000.190.090.060.170.110.070.030.200.130.000.030.110.060.030.010.120.070.060.030.150.120.080.050.10
0.180.090.170.080.260.180.09-0.010.220.180.120.070.310.280.190.090.180.170.110.060.230.160.090.060.150.150.090.060.170.120.070.020.150.120.07-0.160.070.050.150.090.060.020.170.11-0.020.070.030.010.000.090.040.030.020.120.090.070.040.06