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Wipro Ltd. Cash Flow Statement

NSE:WIPRO | COMPUTERS - SOFTWARE

Cash Flow Insights

Cash Conversion

1.28x

WIPRO's operating cash flow exceeded net income in FY 2025, indicating earnings are backed by actual cash generation.

Free Cash Flow

₹154.69B

WIPRO's free cash flow was ₹154.69B in FY 2025, down 6.6% from FY 2024.

Dividend Coverage

2.5x

WIPRO's free cash flow covered dividends 2.5x in FY 2025, leaving room for reinvestment or debt reduction.

CapEx Intensity

8.7%

Capital expenditure was 8.7% of operating cash flow in FY 2025 for WIPRO, indicating a capital-light business.

10-year WIPRO cash flow snapshot

Hover the chart icon for YoY change.

FY 2016 - FY 2025
Item Chart 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Net Income 115.25B 85.18B 80.03B 90.18B 97.72B 108.68B 122.43B 113.67B 111.21B 132.18B
Cash flow Operating Activities 79.70B 92.77B 84.23B 116.32B 100.64B 147.55B 110.80B 130.60B 176.22B 169.43B
Investments in PPE -14.28B -20.85B -21.87B -22.78B -23.50B -19.58B -20.15B -14.83B -10.51B -14.74B
Cash flow Investing Activities -138.76B -116.28B 35.58B 50.13B 34.01B 7.74B -224.50B -84.07B 11.68B -80.73B
Dividend Paid -35.49B -8.73B -5.42B -5.43B -8.28B -6.42B -6.60B -32.81B -5.54B -62.75B
Cash flow Financing Activities -1.38B -22.75B -129.98B -49.37B -151.00B -128.84B 46.59B -60.88B -182.57B -63.96B
Cash at beginning of period 158.94B 98.39B 50.72B 40.93B 158.53B 144.10B 169.66B 103.83B 91.86B 96.95B
Cash at end of period 99.05B 50.72B 40.93B 158.53B 144.10B 169.66B 103.83B 91.86B 96.95B 121.97B
Free Cash Flow 65.42B 71.92B 62.36B 93.54B 77.15B 127.97B 90.64B 115.77B 165.71B 154.69B

Values are shown in millions (M) and billions (B). All amounts are in Indian Rupees (₹).

Data from audited consolidated filings. For educational purposes only — not investment advice. Last update: Mar-2025