Wipro Limited
Cash Flow

Last updated:

Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Wipro Limited generated cash of $176,216,000,000, which is more than the previous year. Cash used in financing activities reached the amount of -$172,111,000,000 last year. Net change in cash is therefore $5,090,000,000.

Cash Flow

Wipro Limited (NSE:WIPRO.NS): Cash Flow
2010 50.99B -33.81B -601M
2011 40.43B -17.23B -26.37B
2012 40.07B -8.05B -17.39B
2016 78.87B -138.15B -1.58B
2018 84.23B 35.57B -129.97B
2020 100.64B 34.01B -150.99B
2021 147.55B 7.73B -128.84B
2023 130.60B -84.06B -60.88B
2024 176.21B 11.68B -172.11B

WIPRO.NS Cash Flow Statement (2010 โ€“ 2023)

2023 2022 2020 2019 2017 2015 2012 2011 2010
Cash at beginning of period
91.86B103.83B144.10B158.52B50.71B158.71B60.89B63.55B48.23B
Operating activities
Net income
110.45B113.66B108.66B97.71B80.08B89.41B55.73B52.97B46.11B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
34.07B33.40B27.65B20.86B21.12B14.96B10.12B8.21B7.83B
Stock-based compensation expense
5.59B3.96B2.31B1.26B1.34B1.53B949M1.09B1.30B
Deferred income tax benefit 5.59B3.96B2.31B1.26B1.34B1.53B949M1.09B1.30B
Changes in operating assets and liabilities:
Accounts receivable, net
14.38B-985M12.84B-3.32B-9.73B-5.47B-17.47B-10.69B0
Inventories
287M162M803M2.08B545M-541M-862M-1.78B-218M
Accounts payable
-435M-9.82B5.69B-12.40B4.49B4.68B000
Cash generated by operating activities
176.21B130.60B147.55B100.64B84.23B78.87B40.07B40.43B50.99B
Investing activities
Purchases Of Investments
-975.06B-806.63B-1.17T-1.17T-782.47B-934.95B-353.14B-474.47B-351.64B
Investments In Property Plant And Equipment
-10.51B-14.83B-19.57B-23.49B-21.87B-13.95B-12.97B-12.21B-12.63B
Acquisitions Net
-5.77B-45.56B-9.87B-2.54B-6.65B-39.37B-7.92B-140M-4.39B
Cash generated by investing activities
11.68B-84.06B7.73B34.01B35.57B-138.15B-8.05B-17.23B-33.81B
Financing activities
Common Stock Issued
13M12M6M14M24M4M22M25M66M
Payments for dividends
-5.21B-32.81B-5.45B-6.86B-5.42B-35.49B-17.22B-15.58B-6.82B
Repurchases of common stock
-145.17B0-95.19B-105.31B-110.31B0000
Repayments of term debt
-20.11B-17.58B-105.86B-32.82B-10.98B35.25B-71.02B-82.71B-55.66B
Cash used in financing activities
-172.11B-60.88B-128.84B-150.99B-129.97B-1.58B-17.39B-26.37B-601M
Net Change In Cash
5.09B-11.97B25.55B-14.42B-9.79B-60.32B16.30B-2.65B15.32B
Cash at end of period
96.95B91.86B169.66B144.10B40.92B98.39B77.20B60.89B63.55B
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